1. Relevant degree from a recognized
university.
2. No regulatory action against
him/her in the past 5 years if he/she has banking experience.
3. Knowledge of Treasury financing
products.
4. Preferred 1-2 years of Treasury
Operations experience.
5. Good communication skills (oral
and written) in both Korean and English.
6. Proficient in MS Office.
7. Must be able to work
independently, well-organized and self-motivated under pressure.
[업무내용]
1. To process daily settlements & trade confirmations/notifications
timely and accurately.
- Settlement for Treasury products; FX, MM, Fixed Income, IRS, CCS, FX
Options, Futures & Interbank FT, etc.
- Confirmation/Notification handling
2. To perform periodical operational processes timely and accurately.
- Submission of accurate and complete local regulatory & HO reports
on time
- Managing Nostro accounts
- Brokerage reconciliation and reporting
3. To support Treasury business timely and accurately.
- Prepare funding projection
- Support to set up customer information to relevant systems
-Conduct necessary/required UAT
- Assist to update NPAP
status