Posted By
Posted in
Banking & Finance
Job Code
1576700
Job Description
Key Responsibilities
- Responsible for the daily P&L production and analysis along with ensuring integrity of Balance-Sheet of Transaction Banking [Cash Management and Trade products].
- Understand the transactions booked in Trade products and Cash management business from a commercial aspect including Return on RWA.
- Compute and build control to ensure consistent Pass Through Rate [PTR] in cash management business.
- Deep understanding of various Trade Products such as Working capital Loans, Trade Loans, Open Account Financing, Import/Export Trade products [LC related products].
- Analysis and reasoning of Daily, Weekly and month NIM fluctuations across the countries and Balance Sheet Movement.
- New deal review and revenue recognition in line with IFRS9 & IFRS15 accounting standards.
- Actively engaging with stakeholders across multiple functions and representing PC on various forums.
- Responsible to oversee and review the BAU controls, reporting, and escalation process.
- Production of periodic MI pack with commentaries.
- Establishing best practice across various PC process, streamlining and automation.
- Review of Key Control Indicators (KCI) and Control Sample Testing (CST).
- Supporting control & governance, external audits and regulators queries.
- Support new business initiative and help execute on management strategies.
- Lead project delivery and represent Product Control in project forums.
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Posted By
Posted in
Banking & Finance
Job Code
1576700