Our client, a global bank, is looking for a Clerk to work in their Forex & Treasury Admin department.
- To handle the daily operation
- Operations related to Interest Rate Swap transaction (Inter bank and customer) such as the transaction posting to main frame
- prepare due date control file
- follow up the deal confirmation and tracers
- conduct the necessary mailing and filing of documents
- prepare all relevant reports to relief other team members during their vacation or absence and other mis. Routine operations.
- F5 standard or above
- good computer/excel skills
- fluent/writing in English
Interested candidates, please send an updated CV to firstname.lastname@example.org and email@example.com. Only shortlisted candidates will be contacted. Thank you!