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Provide in-depth knowledge of FX products including but not limited to Third Party, Spot, swaps, Forwards and Custodian FX.
Understand and investigate failed trades and have a detailed knowledge of the claim's management process.
Manage the front to back processes related to Collateral and Margin Management, Margin Calculation, Validation, Posting and settlement of initial and Variation margin, Margin break / dispute resolution
Contribute to department's strategy and deliver projects
Resolve complex issues in a timely manner to adhere to global cut off times
Prioritize workload effectively
Implement and analyse MIS to drive process improvements internally and with stakeholders.
Regularly review of processes to identify opportunities for improvements and efficiency
Utilise existing and Build strong new internal and external relationships to drive improvements in performance.
Bachelor's Degree in relevant fields.
Relevant accounting qualification preferred
At least 5 years' experience of relevant operational experience in a cash & collateral management
Good adaptability to multinational environment, with wide exposure to various cultures and customs.
In-depth understanding of relevant processes and applicable standards.
Strong analytical and planning skills.
Interested candidates please apply to this advertisement directly or send your CV to email@example.com