CB IB- Treasury Operations- Operations Expert, AVP
Deutsche Bank View all jobs
- Manila City, Metro Manila
- Permanent
- Full-time
- Competitive Salary
- Attractive Retirement Benefit
- Medical and Life Insurance upon employment
- 20 days Annual Vacation Leaves
- Ensure all daily deliverables are complete as per SLA.
- Completeness of task as per the KPI. Focus on quality .
- Review of MIS, Daily reports, Work Allocation.
- Ensures timely response and action of queries received.
- Managing and escalation of aged / high value breaks with estimated potential or actual impact.
- Preparation of daily, weekly, and monthly dash boards including plans for internal reviews, audits, and walkthroughs.
- Conducting of root cause analysis and documentation to ensure fixing of issue at source.
- Partnering with teams upstream and end users for timely break resolution through identification of weaknesses/insufficiencies in the processes and controls due to changes in operating environment.
- F2B understanding from a system and process perspective whilst understanding the impact of market trends on process flows.
- Running daily team huddles on staffing, adequacy of procedures and controls alongside priorities for the day.
- Identify training needs for team with partnership of the VP to improve performance, team knowledge of common errors and how to avoid/correct, cross training/back-up planning, seating, equipment, and technology.
- Contributes to global projects and business objectives.
- Working on feedback and improvement areas provided by the VP during the monthly 1:1
- Tracking and closures of any open and risk accepted Self-Identified Issues.
- Identifying and prioritizing product and service improvement opportunities and creating plans for implementation
- Utilising comprehensive knowledge of the company's internal operations to develop forward-looking focus for business
- Supporting bank strategy, proactively identifying and managing areas of risk Maintaining relationships with relevant internal and external stakeholders including regulators, market vendors and internal divisions
- Communicating changes to operational requirements and their impact on relevant processes and controls
- Working knowledge and hands on experience on Treasury ,Issuance ,Swaps,Trade booking functioning.
- Treasury or Margin MO and BO market knowledge would be added advantage.
- Min 10 Years of experience in Investment Banking.
- Experience in handling teams, regionally and virtually.
- Basics of Issuance,Treasury, Money Market ,Nostro Management
- Well-versed in use of Microsoft Office
- Working knowledge of Summit,Kondor, ACS,TLM,Manual Payments etc. related systems.
- Knowledge of required exchange systems and interfaces.
- Ability to turn around BAU accurately, even under tight deadlines, with agility for problem solving.
- Good communication and interpersonal skills.
- Willingness to take on responsibility and learn new tasks to guide the team even at ground levels.
- Flexibility in working hours and following of Firm policies & guidelines regarding work / shift and coverage requirements.
- Degree educated in Finance, Commerce or related field, or have a minimum of 10 years of work experience in a Banking/Finance environment.
- Experience working in a global, cross matrix reporting organization.
- Background in Treasury , Margin, Rates, Credit, FX, Securities, Treasury or Liquidity Management. Microsoft Excel skills to a good standard.
- Training and development to help you excel in your career
- Coaching and support from experts in your team
- A culture of continuous learning to aid progression