Knowledge; Skills and Experience required for this Role
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Proficiency in computer packages e.g. MS Word and Excel
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Accuracy
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Attention to details
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Ability to work under pressure
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Ability to meet specified deadlines to contribute to attaining organizational goals.
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Business graduate and postgraduate from an accredited University
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Excellent Communication skills
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Minimum of five years of working experience in payments, trade and TBO.
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Professional qualifications – Specialist training e.g. ACI Operations, Trade CDCS, CSDG etc. as an added advantage.
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Excellent interpersonal skills
Financial & Management Development:**
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Enhance the bank’s revenue targets by ensuring 100% revenue collection for all treasury products.
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Ensure complete and accurate processing of all payment, trade & TBO finance transactions and collection of commissions thereof.
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Eliminate financial losses emanating from processing fraudulent transactions.
Customer Perspective:****
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Provide a high quality of service to all clients within agreed SLAs.
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Customer complaints be resolved within TAT.
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Ensure high quality of communication to internal and external clients, both verbal and written.
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Take ownership when dealing with queries, offer suggestions and conclude constructively by investigating and resolving whilst protecting the bank’s reputation.
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No exceptions and incidents with respect to adherence to the service charter regarding customer satisfaction.
Operational Excellence:****
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Confirm, monitor contract settlements and reconcile entries to confirm receipts and payments.
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Nostro accounts reconciliation
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Ensuring complete and accurate processing of all payments, trade & TBO contracts and related transactions in the swift and core banking system.
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Ensure opening and closing FX rates maintenance
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Prepare and submit regulatory reports on time
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Ensure all title documents are handled as per bank procedure and held under dual control.
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Ensure that all due diligent checks have been conducted with regard to compliance.
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Deal confirmation matching.
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Co-ordinate with other departments to ensure smooth and timely execution of client instructions.
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Query resolution and analysis
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Prepare audit reports for counterparties
Risk and Control:****
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Custody of payments, trade & TBO contracts – Responsible for ensuring safekeeping of treasury trade documents within the department.
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Ensure minimal errors by ensuring accuracy in Payment, trade & TBO deals capturing in swift and core banking system.
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Ensuring departmental compliance to both local and external regulatory requirements e.g. Anti-Money Laundering, US sanctions, CBK guidelines.
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Ensure that monthly reconciliation schedules and risk attestations are carried out and submitted.
Learning and Development:**
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Execution of any other duty as allocated from time to time by senior management.
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Keeping up with any developments in the department so as remain informed and relevant.
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Provide support to the team leader ensuring effective teamwork across the payment, trade & TBO.
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Support and adopt the implementation of change initiatives.
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Provide suggestions to the line manager on improvements and solutions based on knowledge of payment, trade & TBO.
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I continuously look for opportunities to further develop own skills and expand knowledge base.
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Obtain constant feedback on personal development from your line manager and other team leaders.
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Train and develop back-ups within the department to ensure continuity of business.