The person will be working for confirmation and settlement process of Money Market process that typically have a high level of client servicing, monetary exposure, regulatory risk and reputational /financial loss due to transaction nature, which can impact client relationships.
Ensure appropriate controls are in place to prevent risk, maintaining a zero tolerance for error in line with internal audit requirements and external audit standards.
Ensure that all the functions are performed while being fully compliant with global regulations, bank\'s ethical standards and control mechanisms
Ability to work autonomously and deliver results in a high-pressured environment.
Ability to understand the process risk and ensure timely reporting and escalation of critical risks & non-compliance with policies, standards, and limits.
Build and maintain healthy business relations with major clientele, ensuring maximum customer satisfaction by achieving performance parameters on delivery & quality norms. Ensuring KPIs are green, and escalations are minimal.
Strong attention to detail and accuracy with an ability to notice minor discrepancies / issues.
Strong understanding on Investment Banking products and different regulations in the market.
Ensure the Completeness on all obligations under the Bank\'s Supervisory Policy including Mandatory Training
Manage the business resiliency by ensuring proactive leave planning, support staffing, cross training, replacements etc. via Team managers.
Ensure all the key deliverables are met within an agreed SLA.
Education/ Qualifications
Bachelor\'s Degree in Finance, Commerce or a related field and have a minimum of 0-5 years of work experience in a Banking/Finance environment.
Professional or Investment banking qualifications are not a must but will be looked upon favorably
Strong verbal and written communication skills and effective interpersonal skills.