Cash Resume Samples

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PW
P White
Paul
White
45626 Lourdes Turnpike
Houston
TX
+1 (555) 675 5718
45626 Lourdes Turnpike
Houston
TX
Phone
p +1 (555) 675 5718
Experience Experience
Los Angeles, CA
Cash Applicator
Los Angeles, CA
Bergstrom-Koelpin
Los Angeles, CA
Cash Applicator
  • Create and update policies and procedures for process improvement
  • Creates credits in the RLM system for Returns and sales adjustments, distributes, and files
  • Audit, evaluate processes and provide feedback/resolution
  • Ongoing assistance in the Imaging Area scanning documents or data into the system
  • Monitor and troubleshoot any Open Scan Queues for team support and feedback, including Quality Assurance and Supervisor Queue; due to the time constraints of Open Scan and bank feeds and over time
  • Monitor and track improvement
  • Work with IT, customer, sales, billers and CFS personnel by phone, email or other to research and resolve processing issues
Houston, TX
Cash & Trade Process Analyst
Houston, TX
Cole-Rau
Houston, TX
Cash & Trade Process Analyst
  • To support colleagues and business for new initiatives, developments and explore the opportunities to improve process and quality of work
  • To support colleagues and business for new initiatives, developments and explore the opportunities to improve process & quality of work
  • Participate in or manage any project as per management designations
  • Develop strong back up for Funds Transfer Desk
  • Immediately report errors to line management and take timely action for corrective and preventive action
  • Gain knowledge of other products handled by the unit and develops as a strong backup for those products
  • Participate in task forces related to any product or department as per line management designation
present
Los Angeles, CA
Cash & Trade Proc Senior Analyst
Los Angeles, CA
Waters-Rodriguez
present
Los Angeles, CA
Cash & Trade Proc Senior Analyst
present
  • May be responsible for maintaining department calendars and provide input on performance of staff to Section Manager
  • Plan, oversee and manage multiple projects in order to develop, create, and modify daily processes
  • Provide project updates to senior business and technology management
  • Perform risk management to minimize project risks
  • Responsible for ensuring timely complete and accurate processing of transactions, including performing all relevant control
  • Investigate and Provide solutions to our Latam Country Partners
  • Provide direct support to the Head of Prime Finance & Delta One Operations
Education Education
Bachelor’s Degree in Accuracy
Bachelor’s Degree in Accuracy
Towson University
Bachelor’s Degree in Accuracy
Skills Skills
  • Team players with strong relationship building skills to enable them to adapt to the dynamic business of Citi
  • To develop excellent inter-departmental relationship and team work which enables in achieving mutual goals
  • Capable of resolving queries and investigations forwarded by internal and external customers
  • Capable of resolving queries & investigations forwarded by internal & external customers
  • Process and analytical skills with eye for detail and use systematic and creative approaches for problem solving
  • Strong communication & interpersonal skill
  • Excellent Communication Skills (oral and written)
  • Good analytical skills
  • Know the central bank regulations for import/export of goods and services
  • Excellent command of Microsoft office (MS Excel and MSWord, Power Point etc.)
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15 Cash resume templates

1

CIB F&BM Cash Product Controller Resume Examples & Samples

  • Daily P/L production and Risk Explain Reporting
  • Compiling reporting packages for management
  • Funding and Balance Sheet Analysis
  • Month End Reconciliations to the G/L and Management reporting systems
  • Understand the process flows for all products from trade origination through to corporate systems
  • Understand the economics of hedging strategies and products
  • Understand the legal, regulatory, compliance, credit, market risk management, tax and accounting issues as it relates to the product or booking entity
  • Look to improve and lead the team coordination process
  • Taking the lead role in resolving day to day issues impacting Pnl
  • Undergraduatedegree in Accounting/Finance/Economics
  • The individual must be analytical, self-motivated, detail-oriented with strong communication skills
  • Intermediate proficiency with Excel is mandatory
  • Experience with P&L production
2

CIB F&BM Treasury Services Core Cash Product Control Resume Examples & Samples

  • Ensure a sound control environment
  • Understand accounting treatment and ensure compliance with appropriate corporate and regulatory requirements
  • Coordinate the preparation of quarterly regulatory reporting requirements; coordinate with middle office and accounting & control hub
  • Support of the month end close to ensure accuracy of the Financials, Management Reporting, and Client Profitability
  • Analyze forecast and actual P&L; investigate discrepancies and provide commentary for significant revenue events to senior management
  • Validate balance sheet items for appropriate classification for regulatory, corporate and legal entity reporting
  • Understand balance sheet usage and reporting
  • Ad hoc business and financial analysis
  • Understand and contribute to control frameworks; Control self assessment (CSA), SOX, New Business Initiative Approvals, etc
  • Validate existing and develop, as needed, new MIS performance analytics and reporting to increase transparency around expense management, client and business performance, etc
  • Act as SME to support project management & the businesses for various Liquidity projects/initiatives
  • Strong accounting / finance background highly preferred
  • Excellent technical skills (Excel, Access and PowerPoint)
  • Needs to be very comfortable handling large amounts of data using Access and Excel
  • Knowledge of CDGL, Paragon, FDW and Business Objects applications is a great plus
  • Advanced communications and presentation skills
  • Highly motivated learner who brings insight to the table and thrives in an environment that changes pace often
  • Ability to quickly grasp concepts, learn processes and execute on deliverables in a timely manner
  • Ability to work independently with the focus on efficiency and quality
  • Excellent time management skills, being flexible to handle multiple tasks at the same time and prioritize the tasks in the order of importance
  • Ability to manage several projects and tasks concurrently
  • Bachelors Degree in Finance/Accounting or related business experience required
  • MBA / CPA a plus
3

Fixed Income Cash Client Processing Resume Examples & Samples

  • Excellent teamwork and communication skills
  • Ability to prioritise effectively and achieve results under pressure
  • Self motivated and conscientious
  • Experience of working to tight deadlines
  • Excellent client/customer focus
  • Second language(s) advantageous, particularly Spanish, French, German and Italian
  • An understanding of Fixed Income products would be advantageous although not essential. Full training will be provided
  • Experience with MS Office applications, in particular Excel
4

Cash Settlements Resume Examples & Samples

  • Pre-settlement: Perform day-to-day settlement affirmation for currency JPY, and all currencies for the domestic entity via external client
  • Discrepancy resolution: Investigate and resolve settlement discrepancy via external client prior the settlement date
  • Prepare payment and instruct the payment/receipt of the funds
  • Post reconciliation: Reconcile and investigate fail and break items. Resolve post settlement breaks. Communicate with the client if there is the discrepancy, resolve and follow up the post settlement
  • Identify areas for process improvement to improve the control and efficiency of the process
  • Work the global project, system enhancement
  • Deliver quality service and solutions to evolving business requirements
  • Work and contribute as a team
  • Self motivated with positive working attitude
  • Specialist in functional knowledge and able to deal with multiple tasks under pressure
  • Good communication skills, able to interact and communicate effectively across cultural and hierarchical lines within the Firm
  • Ability to identify problems as they arise and understand when they need to be escalated
  • Ability to set out / apply up to date knowledge and best practices to develop solutions that add value to the firm and our clients
  • Adaptable and flexible to changes and new challenges
  • Keen to learn new skill sets and does so quickly
  • English and Japanese - Fluent in written and spoken communication. Be able to communicate with the external client politely
  • Knowledge of Derivatives products and Settlement
  • Proficiency in Microsoft Office (Excel, Word, and PowerPoint)
5

Cash Settlements Fixed Income Analyst Resume Examples & Samples

  • Strong Microsoft Excel and Word skills
  • Strong settlement product knowledge (FID, Equity & FX)
  • Experience in Fixed Income Derivatives, Foreign Exchange, settlements, cash management, funding, stock loan, Treasury risk management, regulatory is desired
6

Cash Parking Attendant Resume Examples & Samples

  • Selling parking passes for applicable events
  • Counting incoming/outgoing parking passes
  • Capability to work outdoors and stand for an extended period of time
  • Ability to understand and guide traffic flow
  • Able to work nights and weekends, some weekday afternoons also required
  • Customer friendly
  • Cash handling and/or balancing experience preferred
7

Cib-ts-cash Product Manager Resume Examples & Samples

  • Liaison with business support and China financial management for investigations, variances and metrics
  • Identify strategies to increase the volume of payments delivered electronically, by directing the analysis of paper, planning and executing
  • Identify strategies and opportunities to improve quality and efficiency
  • 6 years of transactional banking experience with client access channel implementation or product preferred
  • Strong interpersonal and organizational skills including good decision making and multi-tasking abilities
  • Fluency in Mandarin and English both oral and written
  • In depth China market banking regulation and local cash management experience required
  • Exposure to various functions including sales, client service, operations preferred
  • Deep MS Excel, Access, PowerPoint and Word skills
8

Cash Product Specialist Korea Resume Examples & Samples

  • Have relevant experience in TS Cash Product Management at least 3-6 years
  • Project management and strategic planning skills
  • Fluent English, Korean speaker, writer
  • Strong interpersonal skills with the ability to maintain close working relationship with all functional partners (sales, customer service, compliance, legal, operations, finance, technology, etc.)
  • Reasonable grasp of technology & operation involved in Cash & Liquidity products is a plus
  • Driven personality who can work across borders, functions and cultures to deliver results
9

Global Head of Cash Accounting VP Resume Examples & Samples

  • Overall responsibility for the cash application and reconcilement of all corporate bank accounts in EMEA and AMRS
  • Direct line management of the EMEA cash accounting team and their workload (includes 3 direct reports in supervisory roles and 9 additional analysts)
  • Daily check in’s and direction of the Indian teams workload
  • Close liaison with the APAC Global Finance Operations Director in terms of the management of the AMRS cash accounting team
  • Timely escalation of any potential issues / breaches / suspicious activity to manager
  • Overall responsibility for all cash related balance sheet substantiation
  • Lead contact for and team co-ordination of external / internal / sox audits
  • Taking a lead role in project work that impacts cash accounting including updated systems implementation
  • Development of global best practice, constantly encouraging team to identify process improvements and knowledge share
  • Supervision of all manual payments ensuring appropriate authorization and timelines
  • Ownership of all cash accounting SOX and CASS controls
  • Maintaining appropriate segregation of duties between the cash reconcilement function and other areas of the firm
  • Cross training of team members to allow cover for absence / holidays
  • Development of strong working relationships with other key teams including, AR Collections, Accounts Payable & Treasury
  • Strong experience in Accounting Operations (i.e. Cash Accounting / Accounts Payable / Billing / Credit Control etc)
  • Exposure of working in a global multi-currency environment beneficial
  • Demonstrably strong people management skills
  • Prior use of Oracle GL, Oracle Cash Management, HSBC Net, JPM Access & BONY Workbench highly beneficial
10

Supv-cash Settlements Resume Examples & Samples

  • Supervise staff – hire, terminate, performance appraisals
  • Train new staff and ensure that the work allocation is balanced
  • Align Team goals to the Department Goals and build KRA’s for the Team
  • Tracking performance of the Team Members against set objectives
  • Work with Manager to develop staff & support Department Performance
  • Reward & Recognize Team Members
  • Talent Review of staff
  • Review problems and take necessary actions
  • Retain and engage top talent
  • Attrition % to be managed not to impact the service delivery
  • Review & augment management metrics and service level definitions
  • Prepare management reports, including metrics on service levels
  • Identify and resolve any issues related to services being provided, including contact with area(s) serviced
  • Creation of relevant metrics where ever not present
  • Cascade Corporate and business unit specific initiatives to staff within one day of announcements
  • Monitor work flow and allocate to staff members
  • Subject Matter Expert – Should be able to resolve issues/queries from the Business and suggest appropriate solutions within the span of control
  • Build Relationship with the Business and work towards customer delight
  • Actively participate in project and ensure all issues are promptly resolved thus ensuring all deadlines are met
  • Assign and monitor staff working on projects
  • To identify the changes on workflow that helps in reducing the manual & redundant steps
  • Build contingency plans and back up plans for every level
  • To identify scope of automation in current process which should result in productivity increase
  • Exercise independent judgment and implement solutions to problems or process improvements and ensure solutions are consistent with business objectives
  • Facilitate and identify areas for additional operations growth in Fiduciary
  • Build cross functional awareness across Fiduciary group
  • Update Team on company policies & ensure there is no deviation
  • To ensure team is in strict adherence to internal audit for clean desk policy
  • Actively Participate in internal & external audit
  • Identify, escalate and communicate complex and/or sensitive issues to senior management as appropriate
  • Position requires 1-2 years in a similar banking operations role or 7 years in a similar line of business with supervisory experience
  • Banking Domain Experience - Essential
  • Solid knowledge of the financial services industry
  • Experience in related line of business desirable – Banking and Financial Services Industry
  • Ability to manage staff of a department with very specific deadlines
  • Should be able to backup Manager in his absence
  • Should be able to address work related issues within the Team and help them resolve issues
  • Guide, Mentor & Develop staff
11

Cash Solutions Project Manager Resume Examples & Samples

  • Serve as single point of contact for Client Operations, responsible for the coordination and successful end-to-end delivery of the program. Closely manage the expectations of key stakeholders
  • Develop and maintain a customized project plan tailored to project requirements, outlining deliverables, milestones, critical path items and actions
  • Lead meetings and coordinate activities of the cross-organizational teams
  • Maintain solid relationships with key client and internal stakeholders
  • Manage critical issues to resolution and escalate to senior management as required
  • Responsible for supporting the preparation of RFP responses; actively participate in prospective client presentations and demos
  • Identify opportunities for process improvements and contribute to department initiatives to implement process enhancements
  • Ensure completeness of delivery from a solution perspective and readiness perspective
  • Proven track record of successful implementations of complex, multi-product deal portfolios
  • Proven track record of consistently strong performance and excellent project delivery
  • Communication and presentation skills to command senior client and senior internal stakeholder meetings (Steering Committees)
  • Strong Leadership skills; ability to promote team building and develop strong partnerships with other teams
  • Payment infrastructure (Swift, Local ACH and SEPA knowledge preferable)
  • Operations econciliation processes
  • ProjectProgram Management (Certification or relevant job experience preferable)
  • Excellent organisational and planning skills
  • Negotiation and decision making/problem solving skills
  • Ability to affect people positively
  • Good negotiator
12

Icg-cash & Trade Sales Manager Resume Examples & Samples

  • At least 5-year experience in any of the following roles: sales, product management, treasury management, relationship management, implementation or project management
  • Excellent client presentation, communication and influencing skills
  • Ability to work both as an individual as well as a team contributor; a self motivator with attention to detail
  • Ability to think creatively. Highly Proficient in using Microsoft Office (Word, Excel, PowerPoint, Outlook, Access)
  • Strong knowledge of transactional banking and associated delivery channel products, familiarity with domestic cash, trade management practices, payment infrastructures, corporate requirements desired but NOT required
13

Cash Team Administrator Resume Examples & Samples

  • Perform various administration tasks falling under the remit of the CashTeam ensuring processed right first time
  • Check all documents are completed in line with internal and regulatory requirements
  • Manage workload to ensure all business is processed accurately and on a timely basis and to ensure that all targets and internal service levels are met
  • Liaise closely with other departments, to ensure all business processes run smoothly and effectively
  • Identify process improvements and share best practices
  • Demonstrate ownership of queries and follow through to successful completion
  • Follow all relevant procedures in relation to cash applications
  • Experience of processing cash transactions
  • Experience of effectively managing own workload
  • Knowledge of Wrap products
  • Ability to demonstrate experience and understanding of working within a Financial Services environment
  • Understanding of controls and risk in a Financial Services environment
  • Knowledge of regulatory requirements and client money rules
  • Ability to follow processes and procedures for the team
  • Able to cope effectively with high volumes of work whilst maintaining an exceptional service level
  • Good working knowledge of Microsoft Word and Excel
  • Have sound business knowledge and experience and would be willing to embark on study towards gaining the IOC qualification
14

Transaction Svs Rep-latmex Cash Resume Examples & Samples

  • Bilingual - English/Portuguese (written and speaking)
  • Two years of experience in the Trade, Business Administration or Finance
  • High communication skills
  • Advanced skills in MS Office preferred
  • Availability to work on Holidays
15

Senior TSO / Cash Teller Resume Examples & Samples

  • Minimum diploma holder with at least 2 years of relevant working experience
  • Fresh graduates are also encouraged to apply
  • Passion in dealing with people and customer service oriented
  • Proactive and positive attitude
  • Pleasant and cheerful personality
  • Able to handle high volume of transactions with minimum supervision
  • Accurate, reliable and good follow through
  • Self-starter, independent and disciplined
  • Commitment to teamwork, quality, details and integrity
16

Business Analyst, Cash & Trade Development Resume Examples & Samples

  • Preparation of presentations and decision-making documents for the senior management
  • Plan, coordinate and execute business testing activities
  • Plan and coordinate hand-over of the project to the Run-the-Bank teams and ensure Business Readiness
  • Closes project (incl. lessons learned) and tracks and remaining issues for resolution / handover
  • Act as a Center of knowledge during Testing, Finalization and Going-Live phase
  • Strong analytical skills, entrepreneurial and innovative spirit
  • Professional, friendly and outgoing personality with strong negotiating capabilities
  • Ability to think and act strategically
  • Mature and able to work independently with minimal supervision
  • Profound understanding of the FX/PM, Payments services and UBS internal processes is considered a plus
  • Strong verbal and written communication skills and ability to interact comfortably with individuals at all levels
  • Strong team-player qualities
17

Head of Cash Products Resume Examples & Samples

  • Support the APAC Head of Investment Product Services Advisory Solutions Banking Products in the development and implementation of the Cash Products across the region
  • Drive new projects development and launch initiatives in collaboration with the Banking Products distribution team, location heads and other Investment Product Services sectors to drive business growth
  • Manage the Cash business activity plan and provide progress reporting against all key initiatives on Cash products both regionally and globally/functionally
  • Drive the treasury, regulatory and balance sheet (Basel III) measures across the APAC region from a product angle
  • Accountable for the APAC Banking Products Cash profitability, invested assets growth and product direct costs in the region and proactively work with the APAC Head of Investment Product Services Advisory Solutions Banking Products to identify areas for product innovations
  • Maintain Cash product life cycle including developing new product initiatives, product structuring, pricing, funding and ongoing maintenance of Cash product shelf
  • Manage the risk and control aspects of Cash products and ensure compliance in all areas
18

Nbim Cash & Emfx & Cass Project Manager Resume Examples & Samples

  • Interim NBIM/CASS EMFX solution
  • Global EMFX operating model
  • Automation of EMFX postings
  • Mirror Accounting solution
  • Works with Cash and FX product managers to design and implement the long term NBIM/CASS solution
  • Support porduction of BRDs and written operating models
  • Manage Operational Readiness - manage implementtaion phase of operating model change Cash and EMFX SME
  • Provide expert advice on cash and EMFX matetrs acoss NBIM/CASS and Integrated Custdoy
  • An ability to articulate the strategic impact of changes being made to the business
  • Strong risk management/mitigation skills
  • Project/product management experience
  • Detailed knowledge of Securities Funding and EMFX processes
  • Detailed knowledge of Citi Cash Systems and Processes
  • Detailed knowledge of Global Custody products
19

Team Lead-cash Business Intelligence Applications Resume Examples & Samples

  • The ideal candidate must be confident and have excellent stakeholder engagement and influencing ability
  • Must be able to service requests (understanding, catering to and prioritising) then execute planned delivery
  • Must be able to remain objective and not get bogged down in detail
  • Must be able to work with, galvanise and positively challenge the onsite vendor and track vendor progress
20

Senior Analyst, Cash & Collateral Svcs HFS Resume Examples & Samples

  • Oversees and processes investor subscriptions and redemptions and the subsequent movement of cash to the client's desired location
  • Assists in the development of a scalable, controlled and transparent cash processing work flow for all 3rd party cash activity including investor redemptions/subscriptions, margin/collateral movements and swap cash flows. Work directly with IT to test and implement this framework
  • Supports development of an expanded cash management offering to expose additional cash management solutions to our clients through technology. Provides feedback into cash management system based upon market place needs, client feedback and workflow improvement. Works directly with IT to develop, test and implement this framework
  • Accurately defines business requirements for IT projects and enhancements for the cash and collateral management team
  • Carries out activities with financial, client, and/or internal business impact
21

Settlements Analyst Cash Securities Resume Examples & Samples

  • Working in a team ensuring the timely settlement of traded products and investigation/escalation of issues identified
  • Supporting the trading desk in counterparty relationships and in ensuring quality information flows across the business
  • Delivery & depot management which performed with the use of exception queues, delivery management tools & direct access to the self-clearing portal
  • Trade matching of transactions and investigation/escalation of issues identified
  • Agreement and processing of settlements
  • Investigation of Trade and Cash reconciliation breaks
  • Manage relationships with trading desks, client services and external liquidity providers
  • Collation of daily/weekly/monthly statistics
  • Monitoring exception queues to ensure intraday business is running smoothly
  • Able to meet strict deadlines in a high volume environment
  • Ongoing review of procedures and checklists
  • Providing assistance to the team lead in other ad hoc related tasks and projects
  • Minimum 2:1 degree in a numerical (Mathematics, Economics etc.) subject , or relevant work experience within a settlements environment
  • An ability to multitask, prioritize, complete checklists whilst working to strict deadlines is an essential requirement
  • Strong attention to detail with a high level of accuracy
  • Excellent numerical and communication skills
  • Ability to work to strict deadlines in a high-pressure environment
22

Retail Cash Wrap Supervisor Resume Examples & Samples

  • Be role model for cashier operations and completing sales transactions quickly and accurately while adhering to cash
  • Specific vision abilities required by this job include close vision, distance vision, color vision, peripheral vision, and ability to adjust focus
  • You must be 18 years or older
23

Retail Cash Wrap Supervisor Resume Examples & Samples

  • Allocates resources and organizes processes within assigned area of responsibility to drive efficiency and productivity in a variety of situations
  • Minimizes loss by implementing, monitoring and tracking all loss prevention activities
  • Uses advanced category expertise and enthusiasm for the Brand to drive sales and customer loyalty
  • Understand customer expectations and coaches team to meet or exceed them at all times
  • Must possess and consistently exhibit the competencies relative to the position
  • Ability to maintain reliable and consistent attendance and punctuality
  • While performing the duties of this job, the employee is occasionally exposed to outside weather conditions. The noise level in the work environment is usually moderate
  • While performing the duties of this job, the employee is regularly required to talk or hear. The employee frequently is required to stand; walk; use hands to finger, handle, or feel; and reach with hands and arms. The employee is occasionally required to sit; climb or balance; and stoop, kneel, crouch, or crawl. The employee must frequently lift and/or move up to 25 pounds and occasionally lift and/or move up to 50 pounds. Specific vision abilities required by this job include close vision, distance vision, color vision, peripheral vision, and ability to adjust focus
  • Minimum 12 months experience working in a sports/fashion customer & commercial focused retail environment
  • Advanced selling experience and comprehensive product, retail and industry understanding as well as supervisory experience
24

Prime Brokerage Cash Disbursement Processing Associate Institutional Securities Group Product Operations Resume Examples & Samples

  • Processing of standard and non-standard client requests and review of legal documentation to ensure the appropriate client approvals are obtained prior to release of cash and securities
  • Project management activities including creation and execution of test scripts and business requirement documentation across the platforms used within the group
  • Weekly, monthly, and quarterly risk management and team performance metrics reporting
  • Ability to identify what is important throughout the day and prioritize accordingly to meet intra-day currency deadlines
  • Proactive escalation of issues as they occur
  • Strong client service and communication skills
  • The ability to build relationships with other operations teams and business units across the globe
  • The ability to multi-task and meet multiple daily deadlines
25

Cash Rates Markets Resume Examples & Samples

  • The maintenance and enhancement of existing solutions
  • Specification of solutions and project management of solutions to delivery
  • Liaison with Research & Development regards the technical realisation of solutions
  • Collaborative engagement of clients with FIT Sales to deliver and develop solutions
  • Frequent travel to EMEA Markets
  • Additional Languages highly beneficial
26

Cash Product Manager Resume Examples & Samples

  • Participate in the preparation of annual plan numbers for Cash as well as reforecasts, estimates and other financial requests for this business
  • Work with various stakeholders to develop and implement Local Cash Solutions that are new to the Jamaican market and to enhance existing solutions as needed
  • Ensure that all Local Cash Management products comply with Citi Policies and Jamaican regulations and that programs are approved in accordance with the Product Program Guidelines. This includes ensuring that the parameters for each solution are implemented appropriately to ensure client satisfaction and accurate returns for the business Back up to Trade Product Manager
  • A Bachelors Degree from a recognized University
  • Two to five years experience in banking preferably customer facing experience
  • Quality & Service Oriented
  • Able to work and communicate at all management levels
  • Microsoft Word proficiency
  • Microsoft excel proficiency
27

Business Analyst Cash & Trade Development Resume Examples & Samples

  • Correct alerting and escalation of project risks to stakeholders, Steering Committee and project sponsor
  • Project management experience including stakeholder management
  • Experienced with analyzing large amounts of data in Excel using pivot tables and formulas
  • Excellent organizational skills with ability to prioritize, identify problems and seek solutions
  • Profound understanding of the Trade Finance/ Structured Finance Business and UBS internal processes is considered a plus
  • IT skills: Excellent knowledge of Microsoft Office applications, project management tools
28

Cash Handler Resume Examples & Samples

  • Passion for helping customers
  • Sales and service oriented with a demonstrated ability to proactively listen, identify sales opportunities and solve problems
  • Solid multitasking skills
  • Demonstrated flexibility to adapt to a constantly changing environment
  • Fast paced environment
29

Senior Manager, Retail Cash Controls Resume Examples & Samples

  • Post-secondary education (University) or equivalent work experience
  • 10 years of experience in a financial institution
  • 7 to 10 years of management experience
  • Good understanding of financial controls and exception management
  • Good knowledge of accounting and operational processes including product life cycle events and related controls
  • Solid knowledge of banking policy, procedure and audit management
  • Advanced knowledge and understanding of retail products, services, processes and controls
  • Advanced knowledge of process and/or project management
  • Solid knowledge of standard desktop applications
  • Advanced problem-solving skills
  • Advanced decision-making skills
  • Advanced prioritization skills
  • Advanced customer service and relationship management skills
  • Advanced managerial leadership skills
  • Advanced risk management skills
  • Advanced planning skills (re finance, resource, input on strategy)
  • Advanced influence management skills
  • Advanced conflict management/ resolution skills
  • Advanced change leadership skills
  • Strong facilitation/ presentation skills
  • Advanced written and oral communication skills
30

Cash Product Sales Manager Resume Examples & Samples

  • Lead Complex cash management deals end-to end process including RFP responses and client pitches, recommending and providing innovative cash management solutions
  • Review Account Plans with TTS Solutioning Sales Manager’s and Relationship Manager’s (Global Subsidiaries Group) to identify cash management sales opportunities from their respective portfolios and support the origination, through the development of thought leadership material
  • Develop target list of under penetrated names to actively focus on growing new cash business through unsolicited proposals
  • Convert pipeline into actual sales revenue
  • Lead and prepare client cash management sales closing pitches/presentations
  • Meet all Sales Management goals tied to pipeline management i.e. CRM, Deal Review and Implementation Project Kick-Offs
  • Work with implementations/account managers to ensure deals closed our implemented effectively and efficiently to ensure revenue realisation and ramp-up
  • Attend regular team and sales management meetings
  • Advanced Cash Management product knowledge
  • Client facing experience and ability to develop relationships and execute transactions. Min 3-5 years experience
  • Market and Industry awareness with business admin and/or macro-economic background
  • Experience working with global Multi-National Companies
  • Numerical
  • Undergraduate Degree preferable
  • Cash Management certification (where relevant)
  • MBA (desirable)
31

Associate, Cash Resume Examples & Samples

  • Provide a consistently excellent service experience
  • Ensure that department meets all Store Readiness requirements including overall maintenance and housekeeping
  • Meet or exceed all productivity and accuracy goals and targets
  • Effectively process sales, returns and exchanges using POS equipment
  • Consistently cusp customer information
  • Follow all policies and procedures regarding transaction completion and cash
  • Adhere to all Asset Protection policies and procedures
  • Alert management of suspicious activity handling
  • Educational Background: High school diploma
  • Minimum 1 year of successful retail experience in a high-volume, fast-paced retail environment
  • Positive, high energy team player with outstanding service orientation and a commitment to consistently deliver exceptional customer experiences
  • Welcoming, approachable and fashion-forward individual with an enthusiasm for learning about and sharing trend and product knowledge
  • Keeps abreast of competitive, cultural and fashion trends
  • Inspire with Service
  • Lead with Passion
32

Cash Solutions Manager Resume Examples & Samples

  • Develop and maintain relationships with Financial Advisors by responding to inquiries and monitoring client feedback
  • Provides pricing and product refinement recommendations to management based upon market research, analysis, and knowledge in an effort to improve competitive position of bank deposit and cash management products
  • Coordinates resolutions for issues that arise from daily settlements and operational issues for all cash products and services including but not limited to the Bank Deposit Program, Capital Access, credit cards and other strategic programs
  • Document policy and procedures and adherence to required documentation
  • Acts as a team lead by coaching and mentoring associatesand identifying training needs
  • Performs other duties and responsibilities as assigned
  • Advanced regulatory requirements, practices and procedures including SEC, FINRA, and FRB
  • Advance knowledge of Microsoft Word, Excel, PowerPoint, SharePoint, and Vizio
  • Establishing working relationships with the business unit(s) represented
  • Performing market research, developing product specifications and incorporating requirements into planning processes
  • Managing the dissemination of product communications
  • Identifying information needed to analyze financial information
  • Establishing departmental objectives
  • Identify training needs and develop subordinates
  • Use appropriate interpersonal styles and communicate effectively and professionally, both orally and in writing, with all organizational levels, including senior management, to accomplish objectives
  • Develop solutions that address meaningful issues for the business unit(s) represented. Ability to clearly articulate the business unit(s)’ priorities, opportunities and issues
  • Bachelor’s Degree (B.A.) in Finance, Accounting, or related field and a minimum of five (5) years of professional experience, with a minimum of three (3) years of experience in Financial Services or managing bank products . Current or previous broker/dealer experience highly preferred
33

Cash & Credit Valuations Resume Examples & Samples

  • Independent Price Verification of the firms books ensuring pricing issues identified escalated and adjusted in a timely manner
  • Oversight on methodologies and calculation of Valuation Adjustments
  • Providing technical guidance on new deals into the New Product Approval Process
  • Ensuring a robust front office supervisory control environment is in place in terms of valuations
  • Perform monthly and intramonth IPV for Credit and Cash Products across all businesses
  • Calculate all relevant valuation adjustments
  • Perform reviews of new trades
  • Responsible for management reporting of IPV including detailed analysis of desk marking trends
  • Regular contact with Front Office, Credit/Market Risk, Product Control, MVG, Quants as well as our offshore based team where most of the processing is performed
  • As the hierarchy is very flat the candidate will have exposure to a broad range of experience from grads to senior MDs throughout Finance, Risk and Front Office
  • The role also requires assistance with Fair Value Hierarchy classification of credit products for purposes of FAS157
  • Ideally, ACCA / CIMA qualified
  • Previous work in financial institutions within similar Valuations role would be preferable, although candidates from product control / middle office / market risk would be considered
  • VBA and SQL programming skills would be preferable, but not essential
  • Attention to detail is a must in order to deliver effectively in this role, as is an ability to work independently and be self-reliant
  • Additional experience with more exotic credit products (correlation products such as CDOs, FTDs) would be helpful but not essential
  • The candidate should also be familiar with FAS157 Fair Value Hierarchy allocation
  • The candidate will need to be able to articulate meaningful challenges and communicate them effectively
34

Cash Accounting Clerk Resume Examples & Samples

  • Processing incoming cash receipts that may include but not limited to credit card payments, bank lockbox payments, checks and cash
  • Posting payments to customer accounts
  • Preparing daily deposits
  • Handling customer service requests from both external paying customers as well as Gannett business unit queries
  • Researching and resolving unapplied payments, NSF checks and credit card declines
  • Performing other duties as required, including special projects
35

Securities, Equities, Cash Trading, Associate Resume Examples & Samples

  • Associate-level trading role assisting the cash trading business in One-Delta Equities
  • Focus on trading content, improving technology, building client relationships, and growing business
  • To help evolve technology within the trading business
  • Drive client relationships by partnering with distribution and proving best in class content
  • At least 3 years of markets related experience in either Equities or Fixed Income is required
  • Execution experience is a must
  • At least 2 years’ experience in Cash Equity from an Investment Bank covering EEMEA is required
  • Bachelor Degree or higher is required
  • Multitasking ability and commercial skill set are required
  • Demonstrate an interest in International markets
  • High degree of client service
  • Comfortable working with numbers/quantitative analysis and excel
36

Director, Global Cash Mgmt & Treasury Resume Examples & Samples

  • Three or more years of cash management related experience in a multinational company
  • Three or more years of management experience, leading a team of at least 3-5 individuals
  • Strong track record of building strong internal and external business relationships
  • Strong ability to communicate vision, strategies, issues, and action plans to senior management
  • Track record of setting challenging goals and holding him/herself and others on the team accountable to those goals in order to deliver results
  • Ability to manage and prioritize workload to ensure appropriate controls while driving forward strategic initiatives
  • Proven ability to develop and implement solutions without clear precedents
  • Experience with SWIFT in a multi-national corporate environment
  • Certified Treasury Professional
  • BA/BS from a reputable, accredited institution
37

TS Cash Sales Resume Examples & Samples

  • Sales of the entire product suite including core cash clearing, liquidity and foreign exchange solutions
  • Proactive identification & solicitation of new names with the focus on delivering new business revenue for MNC in-bound into APAC
  • Provide senior relationship management coverage for key clients including the development of multiple contacts at regional office level in China
  • Build successful relationships with internal lines of businesses to maximize revenue growth with target clients
  • Take the lead role in the preparation and submission of RFPs (i.e. coordinating the deal team, ensuring deadlines are met, etc)
  • Timely completion of client call reports & KYC compliance requirements
  • Active participation in internal & external industry sessions
  • Liaison with the account management, solution centre & operations team to execute timely and efficient resolution of client-related issues that are escalated to the sales team
  • Key account planning including assisting with setting and implementing new strategies
  • Cash Management Sales experience is essential - exposure to Payments, Collections and Liquidity Management Solutions for Corporates is critical to the role (eg, their daily operating activities re their business via an Operating Account)
  • Minimum of 7 years experience in regional cash and liquidity management sales with successful track record and manages complex client relationships
  • A good understanding of the MNC industry in Asia Pacific, in particular the Asian Headquartered MNCs and the Chinese State Owned Enterprises (SOEs)
  • Fluency in Mandarin is required
38

CAN Cash Mngmnt Specialist Cm-grade Resume Examples & Samples

  • Customer Communication Skills (Expert)
  • Sales & Service (In-Depth)
  • Analytical Thinking (Working)
  • Business Acumen (Working)
  • Negotiation (Working)
  • Operational Effectiveness (Basic)
  • Problem Solving (Working)
  • Relationship Management (In-depth)
  • Risk Management (Basic)
  • Conflict Management & Resolution (Working)
  • Financial Understanding (Basic)
  • Information Management (Working)
  • Post Secondary Education
  • Relevant lending and relationship management experience
  • Minimum 5 year relevant experience
  • 20% - Planning
  • Develop, implement, review and revise Customer Action Plans for the assigned GRM relationship managed portfolio of customers focused on identifying customer cash management needs and opportunities that will result in meeting or exceeding sales, service, revenue and loyalty targets. Review and monitor sales, revenue and share of wallet performance against plan, identify gaps, and share best practices
  • Contribute to Area/District Business Plan (as appropriate), regarding new cash management business opportunities, increased profitability and share of wallet growth potential, based on knowledge of local marketplace
  • Plan, implement and maintain an effective business development and community involvement strategy to protect and expand share of profitable Commercial cash management business, utilizing an extensive network of referral resources
  • 60% - Sales and Service
  • Obtain and utilize market/industry/customer knowledge to proactively maximize unit sales, cash management share of wallet", increase cash management revenue per customer and increase Relationship Managed share of wallet for customers within the assigned GRM portfolios
  • Retain and expand Commercial cash management relationships to achieve cash management share of wallet, revenue growth, sales, and RM customer loyalty objectives leveraging the RM BMO Way process
  • Proactively develop relationships with new Commercial customers and build customer loyalty with existing Commercial customers leveraging The Complete Conversation
  • Utilize every customer transaction/meeting (as appropriate) to strengthen and deepen the customer’s relationship with the Bank by identifying opportunities to increase share of wallet
  • Provide holistic cash management solutions to meet relationship managed commercial customer cash management banking needs
  • Establish linkages with PCG Partners, National Office and "Industry Specialty" Groups, to leverage sales and referral opportunities, improve share of wallet, and to acquire and increase market share (as appropriate)
  • Contribute to the Bank’s business objectives and increasing share of wallet through direct market intervention by way of sales calls (individual and jointly with GRM), establishing a personal referral network and other business development activities
  • Provide timely and effective problem resolution, escalating customer issues as necessary as per the established Problem Resolution Process
  • Establish and enhance the Bank’s profile by participating in meaningful and focused business and community activities and seeking out and creating opportunities to generate new Commercial business
  • Champion a sales environment that achieves consistent, superior customer service and good working relationships with Commercial Customer Service Officers (CSO’s), Cash management Analysts (CMA’s)
  • Leverage technology and tools to identify and refer profitable sales opportunities and to ensure optimal effectiveness, efficiency, and delivery of Commercial cash ,management solutions (products and services)
  • 10% - Cash Management Operations
  • Undertake analyses and ensure completion of required documentation for customers including in partnership with the GRM (where appropriate): preparing non-standard/negotiated pricing agreements, reviewing and analyzing customer transaction information, business plans, preparing discussion papers and undertaking negotiations with prospects/customers, and completing internal negotiations relative to cash management sales
  • 10% - Risk and Expense Management
  • Monitor revenues to manage the profitability of existing and new customers to ensure targets are met or exceeded
  • Protect the Bank’s assets by adhering to policies & procedures, legal and ethical requirements and regulations, audit requirements, and established guidelines. Ensure all Commercial Banking Business is in conformity with Bank Policies and other guidelines
39

Tts-regional Cash Sales Head-commercial Bank Resume Examples & Samples

  • Develop cash management sales strategy for the business and execution plan
  • Work closely with country CCB Relationship Managers and Product Sales teams to identify regional/global cash management opportunities, leveraging relationship planning process
  • Work with other regions (primarily US and EMEA) to identify business opportunities with Asian subsidiaries of CCB clients
  • Actively call on target clients at country, regional or global levels and build a strong deal pipeline
  • Own deal review and approval process and ensure all approval conditions are met
  • Own RFP/proposal/client presentation process with special focus on timeliness and quality of proposals/pitches
  • Ensure successful deal implementation and revenue realization from all deals won
  • Keep abreast of the competition and ensure product and relationship teams are updated
  • Develop/execute sales training programs of CCB and TTS teams and regularly share best practices
  • Actively manage Citi TTS brand with product road shows, marketing events, and other client related activities
  • 10-15 years of Cash Management / Banking experience
  • Microsoft Office skills
  • CRM skills desirable
  • Master’s Degree desirable
40

FI Cash Bonds Middle Office Analyst Resume Examples & Samples

  • T+0 Blotter Checks
  • Trade lifecycle management
  • Internal Trade reconciliation break resolution
  • Operational issue co-ordination
  • Adhoc Project management
  • Operational Risk oversight
  • An understanding of capital markets
  • Broad understanding of Dodd Frank and EMIR regulations
41

Citi Commercial Bank-cash Product Market Manager Resume Examples & Samples

  • Tertiary level education with minimum 8 years of relevant banking experience
  • Solid background and knowledge in [Trade and Supply Chain products / Cash products]
  • Strong ability to work with different teams across functions
  • Strong business acumen and attention to details, with a good sense of grasping business opportunities
  • Fluent in English and Cantonese. Mandarin a definite advantage
42

Cib-treasury Services Cash Product Manager VP Korea Resume Examples & Samples

  • Working closely with clients and sales to understand their payments and receivables needs and to pull together leading edge solutions
  • Help to drive the regional product agenda based on client requirements and local sector strategies
  • Working with regional and country product managers define and set pricing strategy, and manage the profitability of the product set
  • Set, and execute against, the strategy for the product and solution set
  • Create Sales training materials and support Sales in product package solutions marketing to clients
  • Produce marketing collaterals and market products through various marketing channels (round table events, conferences, etc)
  • Work with internal product and operations partners to support development and ongoing delivery
  • Build and maintain relationships with APAC TS Country Heads, Global partners and Regional Sales teams
  • Ensure strong Risk Management compliance (KYC, Reputational Risk) and adherence to client relevant Audit, Credit, Compliance and Risk policies
  • 6 – 12 years experience in the financial services industry with significant experience in Cash Management experience
  • Experience in packaging and developing product solutions
  • Analytical ability to understand local market requirements and determine appropriate strategy for the product
  • Collaborative behavior to get internal support for business objectives and ensure high degree of teamwork to satisfy client expectations
  • Excellent written and spoken English required
43

Cash Originator Resume Examples & Samples

  • 20% - Relationship Management
  • Work in partnership with the Global Relationship Director and Relationship Director managing a portfolio of clients (typically 20-30 Clients)
  • Be responsible for all aspects of the Cash and Liquidity needs of the clients in the assigned portfolio
  • In conjunction with the GRD/RD undertake regular service reviews, specifically focusing on the Cash & Liquidity requirements of the client
  • 30% - Business Development
  • Build and maintain strong customer relationships with valuable key names through effective client interaction, to ensure Barclays earnings are maximised from the Cash Management Products
  • Develop potential new banking business, which will require tailored and competitive pricing, and bespoke integration with our customer’s internal systems, with a view to presenting to and influencing clients both at board and operational levels
  • Maintain a regular contact program with Key customers
  • Proactively research customer needs and identify appropriate solutions from the complex Cash Management product set
  • Negotiate with the industry focused teams and customer’s tailored and competitive pricing structures, ensuring income streams are sustainable and grown
  • Arrange, organise, and present at customer seminars to promote product and service offerings
  • Research, create, and implement a target list of new business for Cash Management
  • 35% - Sales and Meeting Client Needs
  • Embed a consultative approach to sales to ensure that client’s needs are understood and exceeded through the provision of value adding and innovative Cash Management Solutions
  • Negotiate and close sales
  • Develop and maintain detailed knowledge of the Cash Management Market ensuring effective delivery to coverage teams and their client base
  • Proactive involvement in creating partnership with our most valued customers so that we are engaged in customers' planning and strategy in relation to Cash Management and minimise competitor threat
  • 10% - Adherence to Sales Management Disciplines
  • Assist with the coaching of relationship staff in the research, sale and implementation of core products to customers with relatively straightforward requirements and in lead spotting for cash management products
  • Assist in the training of customers' staff in the use of cash management products and services
  • Good experience of structuring global cash management solutions including arranging pricing and managing the on-boarding process
  • Proven strong selling and negotiation skills
  • Proven strong Relationship Management skills
  • High quality written and verbal communication and presentation skills
  • Good PC skills (including use of word processing and spreadsheet applications) and awareness
  • Good understanding of relevant legal documentation
  • An Analytical/Consultative approach
  • Good training and coaching ability
  • Strong Time Management
  • Self motivation & flexibility
  • Wider Thinking
  • Minimum of 5+ years of experience in complex corporate (GC and FIG) client Relationship Management and Cash & Liquidity product sales
  • The jobholder will be responsible for a wide geographical area and will be expected to operate on a peripatetic basis across this area. The jobholder will need to be highly self motivated and may be required to undertake a considerable amount of travelling
  • Given the mobile nature of the role the jobholder will be able to operate independently from the reporting line and will be able to effectively utilise a range of mobile communication tools
  • Customers will be complex and demanding of highly professional service
  • The majority of the sales where the jobholder is involved will be in highly competitive and time pressured situations and she/he will require a very high level of commercial awareness in respect of both domestic and international bank and non-bank competitors (e.g. Clearers, Citibank, Deutsche, JPM, HSBC, BNP etc)
  • Communication will be a critical skill to gain business and ensure relationships are properly managed with a cost conscious and highly intelligent customer base
  • Requires an understanding of complex corporate client cash management needs including a good working knowledge of client accounting and Treasury Management operating systems and how our services interface with them
44

A/R Rep/cash Reconciler Resume Examples & Samples

  • On-line application of customer’s payments
  • Accuracy & timeliness are essential to facilitate month-end closing
  • Communicate with the customers to identify check deductions & payments and obtain backup when necessary
  • Resolve all application errors
  • Reconcile all customer deductions against HarperCollins credits
  • Provide analysis & reconciliation to the collection rep responsible for the account
  • Apply & update customer micro numbers
  • Application of journals from Collection Reps
  • Special projects as deemed necessary
  • High school education preferred or equivalent. Computer skills including Word, Excel & Access
  • Minimum 3 years cash application experience
  • Ability to perform high volume in a high pressure environment
  • Overtime may be necessary at month-end close
45

Cm-cash Flow Developer Assoc Mumbai Resume Examples & Samples

  • Have 8-10 years relevant work experience
  • Actively participate in design discussions and architectural meetings
  • Proactively raise issues, mentor team members
  • Are comfortable working closely with a geographically distributed development and planning team
  • Provide Developer (Level 3) support for the applications
  • Are strong communicators, have good people and team membership skills
  • Bachelor in engineering or above
  • Strong Object Oriented analysis, design and development skills
  • Spring Framework, Spring MVC
  • Maven, Subversion
  • HTML / CSS
  • Complex problem solving capability
  • Focused on quality, testing and production implementation
  • Financial Domain Knowledge
46

Core Processing Cash-senior Application Developer Resume Examples & Samples

  • Actively participate in end to end process from planning and requirements analysis through implementation, testing, and release to production
  • Actively participate in design / architectural discussions
  • Provide Developer (Level 3) support for the application
47

Cash Head Resume Examples & Samples

  • Minimum 5 years’ Sales experience required
  • Credit and risk trained
  • Regional language capability (specifically Putonghua, Cantonese) desirable
  • Strong interpersonal and communication skills, team player
  • “Execution spirit” and entrepreneurial skills; “Gets things done”
  • Results oriented and ability to work in a fast paced environment
  • Ability to work effectively with teams across countries and regions without having direct managerial control
  • Ability to effectively communicate in a cross cultural environment
48

Equity Cash Trade Management Resume Examples & Samples

  • Ability to perform well under pressure
  • Understanding of Equity products
  • Knowledge of NTPA and Excel
  • Excellent interpersonal/communication skills, dealing with internal & external clients
  • Series 7 and 63 a plus
  • 1-2 years of experience within the industry
49

Cash Applicator Resume Examples & Samples

  • Daily application of payment to customer accounts, paying open invoices and setting up deduction or on account cash items
  • Debit/Credit matching per written adjustment requests
  • Open item transfers per written requests
  • Daily verification of lockbox transactions
  • Daily verification of invoice/credit interface
  • Daily log update of advance electronic remittance files (EDI 820 reports)
  • Daily support to credit and collection staff
  • Researching and resolution of any discrepancies in inter-divisional application
  • Daily creation of manual check package to lockbox
  • Daily log update of lockbox imaged check pages for weekly download audit
  • Weekly audit activity to support lockbox archival
  • Constant attention to month end requirements and deadlines
  • Ongoing assistance in the Imaging Area scanning documents or data into the system
  • 1 – 3 years related experience
  • PC experience required
  • Good math aptitude required
  • Excellent attention to detail required
50

Cash Rates Imo-analyst Resume Examples & Samples

  • Trade validation back to independent sources
  • Fails management
  • Conducting Fed Auctions and Fed. Open Market Operations
  • Interacting in other day-to-day functions
  • T+0 reconciliation and resolve trade/position exceptions
  • Ensure that all activities and duties are carried out in full compliance with regulatory requirements, Barclays Operational Risk Framework and internal Barclays Policies and Standards
  • Bachelors Degree
  • 1+ years Knowledge of Fixed Income products
  • 1+ years Project experience
  • 1+ years Microsoft Office
51

Cash Applicator Resume Examples & Samples

  • Maintain the daily USD report, by creating, completing, and e-mailing the report to different personnel
  • Prepares the daily tally and ensures balances at monthend
  • Application of all USD and Euro cash
  • Application of all USD and Euro maintenance
  • Creates credits in the RLM system for Returns and sales adjustments, distributes, and files
  • Enters CO 60 Misc inoices in system, forwards invoices to customers, and files
  • Prepares the Batch 93/15 and Marketing Reports
  • Retrives chargeback copies on-line for various accounts, re-codes and writes up maintenance for sales adjustments
  • Pulls bills of ladings, invoice copies, general filing
  • Previous cash application experience required
  • Familiar with the RLM system (AS400) a plus
  • Familiar with Microsoft Excel & Word
52

Sourcing Manager Cash & Self Service Resume Examples & Samples

  • Manage commercial negotiations with relevant suppliers and liaise with legal to ensure favourable commercial terms which mitigate business risk. Negotiations will be for all parts of Barclays requiring services
  • Negotiate significant contracts and manage a small team undertaking smaller, though often very strategic, contracts
  • Support Category Managers with the day to day management of key stakeholders
  • Extensive experience in Sourcing with a reputable firm
  • Experience dealing with senior stakeholders, including executives up to Board Level
  • Financial Services industry experience is preferred
53

Fixed Income Cash Bonds Middle Office Analyst Resume Examples & Samples

  • T+1 trade management
  • Intersytem break resolution
  • Regulatory oversight
  • Proactively looking for ways to improve the workflow and close control gaps
  • PnL flash
54

Manager, IT Sap Order to Cash Processes Resume Examples & Samples

  • Management of issues and risks in the form of incidents to ensure business continuity
  • Oversight and management of outsourced support service delivery in the form of break fix, new configuration or custom solutions development
  • Evaluate, implement and support new enhancements/developments in SD module
  • Provide SAP configuration expertise for all SD related functionality to support the Order to Cash business process including Order Processing, Allocation, Delivery Processing and Invoicing
  • Manage own work within the Order to Cash team and ensure consistency and communication
  • Identify the areas for business process improvement and establish effective and efficient system processes to support
  • Provide Production Support for the Order to Cash Process
  • At least 7 years of SAP configuration experience is required in SD module
  • SAP SD AFS module (ECC 6.0) knowledge is preferred
  • Sound knowledge of Sales Order Management, Allocation, Delivery and Invoicing
  • Knowledge of EDI850, EDI856 and EDI810
  • Production support experience is preferred
  • Knowledge of SAP SD integration with MM and FI modules
  • Knowledge of interfacing to 3rd party software using IDOC’s or BAPI’s
  • Management of IT system enhancements through all phases including development, testing, training and deployment
  • Experience with at least 2 full life cycle SAP SD implementations preferred
  • Solid knowledge of consumer goods and or retail business operations and processes
55

Cash Settlements Team Leader Resume Examples & Samples

  • Acting as an escalation point for settlement issues and discrepancies with external counterparties, sales, and the trading desk, to resolve fails and unapplied cash items
  • Being the escalation contact for Vendor
  • Reviewing end of day Vendors KPIs
56

Cash Desk Operations Resume Examples & Samples

  • Operational responsibility for ensuring daily funding transactions to customers take place timely and accurately
  • Responsible for forecasting cash required based on cash inflows and outflows
  • Responsible for reporting the daily, weekly and periodic CDF cash transactions, and gathering data
  • Prepare weekly and monthly cash status reports
  • Responsible for maintaining compliance with statutory requirements and GE / GE Capital policies related to cash management
  • Responsible for wire transactions (funding and payments) via Treasury system (Webcash) and local bank proprietary system
  • Maintain updated payee bank related information in business ERP (e.g. AIMS and ACBS) and Webcash
  • Reviews daily transfer requests from customers or participating banks to ensure all necessary documents and signatures are in order and that all internal controls and policies are being maintained and followed
  • Performs daily AML check for inbound collections and allocate collections to appropriate customers in ERP system
  • Supports other cash transactions for various structures under CDF
  • Communicates regularly with banks to validate banking instructions for new or changing bank account information
  • Ensure funding performed accurately and in compliance with statutory requirements and GE / GE Capital policies
  • Actively participate in special projects and initiatives, sharing domain expertise
  • University degree and 3+ years of experience with operational cash handling, accounts payable/receivable, banking data
  • Responsible and detail-orientated to ensure funding movement takes place on time and accurately
  • Team player and ability to work with teams spread across various countries throughout Asia
57

Cash & Payment Administrator Resume Examples & Samples

  • Processing payments (GBP and other currencies) to clients, internally and third parties via payment file and through manual payment processing, ensuring accuracy, timeliness and fully compliant work practices. Using a variety of payments methods including in-house payment system, CHAPS, BACS and various other bank payment systems
  • Perform Treasury Cash Forecasting by daily deadlines set and with 100% accuracy through managing multiple data sources and collating an insightful summary for Cash Management purposes
  • Have oversight and control of outsourced activities by liaising with external provider to perform payment checks, and approvals and ensure process, procedure and policy adherence and on-going support for the team
  • Resolve internal and external customer queries regarding cash in a timely and professional manner. By independently driving resolution through liaising with banks on client and internal GE bank accounts to ensure consistent accurate and smooth transaction processing
  • Willingness and ability to work flexibly within a time-bound environment, prioritizing and balancing tasks and activities to ensure externally driven timescales are adhered to e.g. daily cut offs for different banking procedures and Treasury Back Office demands
  • Support new customer on-boarding through the opening of new bank accounts by liaising with internal customers to accelerate the account opening cycle time while balancing the need to maintain internal relationships. Support the on-going maintenance of customer bank account details in core business applications for GE Capital Bank Ltd.'s businesses
  • Investigate and help to resolve numerous, varied and sometimes complex queries relating to account reconciliations performed by other teams
  • Proactively identify department and x-functional process improvement, customer alignment and automation projects to drive process and cost efficiency. Lead and support implementation of projects
  • Perform AML checks and processes in line with GE policies and procedures
  • Proactively manage and organize supporting documentation and paperwork to demonstrate control and clarity of transactions for audit purposes
  • Own the updating and systematic review of Standard Operating Procedures. Include any ad-hoc updates and changes to process maps in MS PowerPoint to ensure manager approval
  • Perform execution and reconciliation of ad-hoc Security transactions and Money Market Deposits. Support enhancements, proactively identify new risks and issues and work with the team to implement new controls to mitigate. Perform 4-eye check, monitoring and control function to validate and ensure data accuracy and execution for Cash Management activities under the Treasury Back Office banner. Escalate and lead issue resolution through communication with external parties and GE Capital Bank Ltd, Treasury Front Office
  • Proven experience in a Financial Services (preferably banking) environment or experience of working in an Accounts / Finance role, including payment processing using bank electronic funds transfer systems. Experience of working with multiple foreign currencies will be an advantage, especially international & SEPA payment processing
  • Numerical skills – accuracy, attention to detail and record keeping, management of large volumes of data and knowledge of MS Excel tools, including ability to manage and analyze data, to create pivot tables (preferred), ability to access and update computerized information
  • Excellent administration and time management skills – ability to manage and organize multiple work streams simultaneously, whilst maintaining an excellent degree of accuracy working to tight deadlines and be able to adapt in a changing and demanding environment
  • Strong Team Player – The ability to work and engage across multiple teams
  • Working knowledge and experience of utilizing Client Relationship Management tools is preferred
58

Cash Mgmt Senior Product Manager Resume Examples & Samples

  • Strategy includes developing, articulating and communicating product strategy, roadmap prioritization, P&L Management, cost and revenue analyses, and designing and executing actions to reduce costs, enhance revenues and maximize profitability
  • 7 or more years of directly related experience+
  • Payables or
  • Product Marketing
59

Manager Process Harmonization Order Cash Resume Examples & Samples

  • Partner up with key stakeholders in Sales and Supply Chain Management
  • Enable fact based decision making by creating transparency on detailed process execution flow and dependency
  • Manage small to medium sized projects and/or actively participate in projects; implement results and ensure sustainability of achievements
  • Develop and implement adequate and aligned communication packages to present results, recommendations and solutions
  • Ensure proper governance of process standards for assigned functional areas/system on day-to-day basis
  • Support ERP rollout (e.g. work-stream lead) as well as process harmonization programs/projects in assigned functional area
  • Identify improvement potential through process variance analysis, derive solutions and facilitate related decisions
  • Provide solutions and contribute to the facilitation of decisions by structuring/analyzing data and deriving the respective recommendations
  • Provide expertise for assigned functional areas/systems and processes towards team and business partners
  • Provide input into new processes and deliver results with direct impact on the department targets
  • Deep business understanding of sales order driven consumer goods industry, preferred Sports and/or Fashion
  • Result orientation and pro-activity
  • High degree of customer orientation
  • Ability to manoeuver in consistently changing environment
  • Ability to operate cross-functionally and understanding of external business drivers
  • Understanding of the complexity, interactions and dynamics within an international company
  • Experience in Project Management
  • Good communication skills for persuasion and convincing others
  • Good analytical skills, managing large data quantities from multiple sources
  • System expertise: Very good experience in SAP SD, basic experience in FICO and MM of advantage
  • Relevant university degree
  • 3-5 years of relevant working experience
  • Willing to travel with maximum 30% in different region
60

Retail Cash Wrap Supervisor Woodburn Resume Examples & Samples

  • Maintains a safe shopping and working environment by ensuring company policy and procedures are adhered to within assigned area of responsibility
  • Guides and trains team members on basic core and seasonal product knowledge
  • Actively supervises and coordinates team to ensure all customers receive the highest level of service
  • Supports the recruitment, onboarding, training and development of the store team
  • Communicates a desire to learn and seizes all available opportunities to drive own development and increase performance
  • Demonstrates an inspirational attitude that contributes to a positive team environment
  • Ability to build and maintain effective working relationships with team members along with willingness to set and maintain high standards of performance
  • Well developed ability to speak, read, comprehend, and write English
61

Order to Cash-cash Acceleration Offering Manager Resume Examples & Samples

  • Expert understanding of financial systems and processes within the Order-TO-Cash cycle and its linkages across various Finance portfolios
  • Excellent oral & written communication skill (English) for stakeholders interactions and Client focused articulation of services offering
  • Sound knowledge of technology platforms
  • Expert understanding of accounting principals
  • Superior project management skills for running medium projects of moderate complexity
  • Typically leads large and complex business or finance process initiatives
62

Order to Cash Offering Manager Resume Examples & Samples

  • Typically 2+ years of supervisory and/or leading a project team
  • Excellent consulting, influence and negotiation skills
  • Excellent people management skills, including managing teams across countries
  • Strong business application skills (e.g., Microsoft Office Suite)
  • Excellent analytical skills and the ability to synthesize change quickly using
  • Excellent time management skills and ability to prioritize
  • Ability to generate original ideas and bring about their implementation
  • Ability to influence change and manage upward; good motivational skills
  • Ability to influence an entire business within a broad scope
63

Order to Cash Project Manager Resume Examples & Samples

  • First-level university degree or equivalent experience; may have advanced university degree
  • Typically 4-6 years of related experience in IT/business operations
  • Typically 3-5 years of project management experience with successful delivery of programs/projects
  • Quality improvement training required
  • Intermediate communication skills with ability to convey medium impact messages clearly (verbal, written and presentation) to internal and external peers and management. Mastery in English and local language as well as other languages as required
  • Intermediate understanding of moderately complex internal operational issues
  • Developed problem-solving and analytical skills
  • Broad knowledge of the end-to-end process of sales operations
  • Developing knowledge of local legal compliance issues
  • Demonstrated teamwork and collaboration skills
  • Ability to structure and apply developed organizational skills to manage daily operational issues
  • HTML
  • EDI
  • XML
  • CXML
  • NA Catalog Tool
  • OIS (Order Integration Suite)
  • OrgAdmin
  • OSS (Order Status Suite) (Sandy)
  • TechDirect
  • UGT (User Group Tool)
  • Vista
  • B2B Portal
  • Punch out systems
  • Eclipse
  • EComCat (eCC)
  • EPrime/eLite (Offline - Online)
  • Easy Config
  • Velocity
64

Treasury Cash Managemnt Resume Examples & Samples

  • The management of all nostro clearing accounts ensuring that the daily closing balances are within the required limits, are maintained at those levels, that overdraft interest and compensation costs are kept at a minimum and revenue is maximized
  • The calculation and accrual of interest income and expense, ensuring that the anticipated income/expense is received/charged by the clearing banks, and that all discrepancies are investigated and resolved to avoid negative impact on revenue
  • Booking all interest and accrual entries ensuring payable and receivable accounts are balanced monthly and that outstanding issues are addressed within the required timeframe
  • Discussing issues or concerns with manager, traders and operations staff to resolve problems and ensuring any changes are updated in the procedure manual once approved by the manager
  • Working closely with the Core Operations staff to ensure compliance with the SLA and recommending or making changes as needed
  • Producing management reports that identify trends, problems and the effectiveness of the process
  • Work with head office on regulator requirements specific to the Financial Market Infrastructure (FMI) and Intraday Liquidity Monitoring space. This can include contingent arrangements across international FMIs CIBC participates in
  • Maintain relationships with International FMIs domiciled in NY, such as CLS Bank
  • Explore and manage cross entity cash flows, account structure and liquidity efficiencies
  • Review daily, the nostro balance monitoring report ensuring that all counter-party failures are noted, the daily closing balances coincide with the analysis closing balances and all valued entries are correctly posted
  • Maintain procedure manual ensuring all changes are included
  • Act as back-up to manager as needed for discount window borrowing purposes
  • Provide back-up as necessary within the Cash Management unit
  • Participate in the various disaster recovery contingency tests performed by the Bank
  • This job maintains an open relationship with traders
  • As an employee of CIBC, the incumbent must comply with all applicable CIBC and Line of Business policies, standards, guidelines and controls
  • Requires 5-8 years’ experience in Finance or Accounting, with a strong background in Treasury
  • Designation as a certified Cash Manager or Certified Treasury Professional would be a plus
  • Familiarity with bank cash management systems
  • Excellent oral and written communication skills, along with the ability to communicate and negotiate with a variety of internal and external constituencies
  • Strong managerial, planning, organizational, decision-making, interpersonal, analytical, and lateral thinking skills
  • Strong Microsoft Office Products knowledge including VBA
  • Knowledge of Federal Reserve rules, and settlement deadlines
  • Knowledge of SWIFT and transaction settlement systems
  • Inquisitive, analytical and detail-oriented
  • Meets deadlines
  • Ability to work over-time
65

Business Analyst Invoice to Cash Resume Examples & Samples

  • Provide decision support thru high-quality business forecasting and analytics processes in partnership with key cross-functional stakeholders, including Finance, Sales, Operations, and Order Management organization
  • Create highly sophisticated analytic frameworks and functional models to forecast the business and provide recommendations for solving key business problems, while growing/optimizing revenues and profits
  • Develop and maintain KPIs and business dashboards to enable performance management and facilitate accountability
  • Manage ongoing, ad hoc analytic and reporting requests from key stakeholders in partnership with Invoice to Cash organization
  • Key areas of focus will include: Analyzing new acquisitions and mergers financials, engagement with Sales, Finance Operations and Order Management to identify E2E process trends through data analysis. Data analysis on customer payment and dispute behaviors, forecasting company DSO, Opex forecasting and analysis
  • Support and Lead Process Improvement Initiatives with internal and external business partners to increase efficiencies with order to cash cycle
66

Avp VP, Nja Equities Cash Coo Resume Examples & Samples

  • Responsible to drive the execution of the APAC Cash strategic objectives, controls strategy and general business support
  • You will be required to work in close collaboration with incumbent Cash COOs throughout the Asia-Pacific region
  • Assist business heads with business strategy and implementation – lead to good strategic decisions
  • Own and oversee control environment – set and meet high control standards
  • Understand and focus on financial performance and be familiar with decision support metrics, and act on them
67

Nja Cash Coo Team Resume Examples & Samples

  • Facilitate Cash COOs to drive the execution of the APAC Cash strategic objectives, controls strategy and general business support
  • You will be required to use your experience, knowledge and initiative to provide outstanding operational support in a fast paced and constantly evolving business
  • Understand and focus on financial performance, lead some expense initiatives for the platform. Be familiar with decision support metrics, and act on them
  • Coordinate, facilitate and drive business support and infrastructure agenda
  • Execute and delegate administrative tasks
68

Cash Pro Client Champion Resume Examples & Samples

  • Demonstrate deep and broad Treasury acumen: Treasury Working Capital Management Product Knowledge; Treasury Operations, Service & Fulfillment Knowledge
  • Build customer/client driven environment
  • Maintains unwavering focus on delighting the client, demonstrates a strong sense of urgency with a dedication and passion for exceeding client expectations
  • Align enterprise capabilities
  • Transcend silos to achieve greater results with partnership support
  • Drive collaboration among individuals and groups
  • Communicate effectively across audiences
  • Education, coaching and teaching
  • Relationship building and partnering
  • Builds partnerships quickly and successfully with others outside of direct team
  • Skillfully influences others to acquire resources and support
  • Exhibit and fosters teamwork
  • Technology/tools inclined/Apply functional expertise – poses the specialized knowledge and skills essential to address key job challenges, solving problems and otherwise performing the technical trouble shooting of the job with a high level of competence
  • Ability to travel = 50% of the time
69

Cash Settlements Associate Resume Examples & Samples

  • Ability to demonstrate strong organizational skills with keen attention to detail
  • Identify settlement issues and discrepancies with external counterparties, sales, and the trading desk, to resolve cash fail receivables and trial balances
  • Investigate and resolve complex settlements through various means, including daily interaction with key stakeholders, including trading desks, sales desks and middle office groups to ensure prompt resolution
  • Confirm correct settlement prices and ensuring trading systems are updated with correct pricing curves
  • Perform key settlement functions by creating payment vouchers and receivables invoices on a daily basis
  • Process early closeouts and novation of trades, as required
  • Bachelor’s Degree ? Analytical, financial or mathematically related preferred
  • Strong interpersonal and relationship management skills
  • Strong Microsoft Excel and Access skills
70

OP Cash Offc Swtchbrd Outfittr Resume Examples & Samples

  • Prepares various monthly reports such as: layaway, charges, petty cash, corporate charges, traffic counts, sales and use tax, license sales and receipts, etc., for record keeping and general ledger purposes. Prepare accounts payable purchase orders for manager approval. Reconcile credit card statements by comparing statement from credit card companies with daily register totals to ensure accuracy and make adjustments as needed. (10%)
  • Receives and directs all incoming calls in a timely and polite manner. Is professional while answering basic customer questions and making store announcements. (30%)
  • Secures and logs keys, RF guns, radios and other equipment as assigned and insures their return at store closing. Monitor and check items entering and leaving through the employee entrance. (10%)
  • Performs other related duties as assigned by management. Assist in other areas of the store when business need dictates, which may include but is not limited to Hardlines, Softlines, Front End, and Back End operations
  • Must be able to read documents, printouts, reports, computer screens and other written communication
  • Must be able to place product on/off conveyor, trucks, shelving, etc.Must be able to write, type and use phone system
71

Cib Treasury Services Cash Product Manager VP Malaysia Resume Examples & Samples

  • The profitability of Cash Management Products & Services
  • At least 8-10 years experience in financial service industry with significant experience in product development especially within transactional banking products
  • Exceptional ability to lead and direct the business agenda and influence the most senior levels of management across the organisation
  • Clear understanding of the cash management business, working capital, client treasuries & influences in each
  • Excellent written and verbal English communication skills
72

Order to Cash Process Manager Tep Resume Examples & Samples

  • Key Deliverables *
  • Responsible for providing Pearson Customer Service and Customer data process expertise to input into requirements gathering, process and system design for an Oracle commercial off-the-shelf offer
  • Responsible for providing input and expertise in Customer Service and Customer data process expertise, to include an understanding of different invoice types currently required and how this might work in a to be state with a single ERP system
  • Responsible for providing input and expertise in accounts receivable refund and collection policies, currently and to be, confirm revenue recognition policies and collection policies - (LoBs or Geographies) from a Pearson perspective
  • Responsible for working alongside the System Integrator and stakeholders to understand fit gaps
  • Responsible for agreeing appropriate compromises, with the business, for fit gap in the customer service/order to cash functional areas
  • Responsible for the assessment of proposed solution design options, highlighting risks and concerns and agreeing resolutions
  • Responsible for escalating design issues if in-team resolution cannot be reached
  • Responsible for assessments for local legal statutory requirements
  • Responsible for liaising with Business Unit Representatives (GCO’s and GCL’s) at all relevant programme meetings, for example Global Design Authority (GDA), as well as with key stakeholders to determine best design to meet Pearson requirements
  • Accountable for working supportively and collaboratively with other teams in the Programme
  • Advocate the project and solution to the business
  • Be an ambassador for the programme
  • Responsible for signing off requirements, testing cycles and unit and system integration
  • Plans and oversees the day-to-day running of workstream/team and delivery of milestones on time
  • Manage team budget and follow
  • Ensure best practice management of the team. Including regular feedback and effective and supportive people management
  • Work supportively and collaboratively with other teams
  • Build relationships and trust with key stakeholder to support programme delivery and collaborative approaches where appropriate
  • Communicate in line with communications and programme plans with team and wider stakeholders
  • Essential Skills /Experience *
  • Demonstrable experience of working on complex programmes within Pearson, or delivering change or implementing new technologies
  • Experience and understanding of the Customer Service Operations function within Pearson; including holding operational roles within Pearson
  • Post graduate professional qualification
  • Ability to communicate professionally, clearly and effectively to target audiences
  • Ability to generate respect and trust from staff and external constituencies
  • Excellent customer service ethic and proven ability to manage internal and external stakeholders
  • Able to work under pressure to meet deadlines. Good organisational, planning & time management skills
  • A track record of building, maintaining and managing strong relationships within an international business and across many different stakeholder groups
  • Proactive in seeking information, challenging norms and driving efficiency
  • The role holder must have functional and operational Credibility and be able to resolve conflict
  • An excellent collaborative manager, able to take on aboard wide perspectives and influence positively and act as a critical friend
  • Proven excellent people manager able to lead and motivate a team
  • Track record of effectively delivering large scale programmes through a team
73

Cib Custody Middle Office Cash Processing Analyst Metrotech Resume Examples & Samples

  • Strong business knowledge is preferred/Added advantage of Prime Brokerage
  • Excellent grasp and understanding of trade lifecycle
  • Knowledge of Global markets and settlement practices
  • Operate effectively in a dynamic environment with tight deadlines, and can prioritize one’s own work to achieve them
  • Strong MS office skills (Excel, PowerPoint, Word)
  • Basic knowledge of Prime Broker, Hedge Fund Services, or Mutual Funds
  • Dedicated to superior client service and ability to remain poised under pressure
  • Proficient in Microsoft Office Products
  • 4 Year Degree Required
74

Order to Cash Roles Resume Examples & Samples

  • Have experience of SAP/Oracle and/or other systems
  • Have at least 3 years' experience within an OTC function and 5-8 years' experience for Manager levels
  • For the Manager level people management and process design/improvement experience is a must
  • Relevant experience should include (but not limited to) cash applications, credit collections, financial reporting and forecasting. The objective always being to improve and streamline the OTC function
75

Cash & Liquidity Management Resume Examples & Samples

  • Be able to independently cover the firm's funding requirements in a variety of markets
  • Be part of a dynamic Global team, with the flexibility to assist and provide cover as needed
  • Operate in a controlled environment, and contribute suggestions for control / efficiency improvements
76

Amrs Cash Team Analyst Resume Examples & Samples

  • Responsible for the reconciliation and control of Corporate Bank Accounts over various currencies spanning multiple sets of books
  • Daily checking of bank transactions and processing of journal entries to the General Ledger via the Oracle WebADI system and the AR Sub Leger
  • Responsible for the timely clearance of outstanding items on reconciliations
  • Completion of monthly cash balance sheet substantiation in the Assurenet system
  • Liaising with Accounts Payable, Credit Control and other Finance functions on payment/receipt queries were appropriate
  • Primary contact for Audit/SOX queries for bank accounts under remit
  • Advanced level of Microsoft Excel (including V-lookups formulas)
  • Ability to recognise and resolve problems and identify process improvement requirements within the role
  • Be able to clearly and confidently communicate in verbal and written form, with all levels of the business
  • Experience of Oracle financial software packages, including Oracle Cash Management
  • Candidate should have the ability to flourish in an extremely fast-paced and growing environment
77

Consultant, Cash & Collateral Svcs., HFS Resume Examples & Samples

  • 5-8 years of work experience with direct experience in Collateral Management
  • Experience in project management and client interaction
  • Direct experience in Collateral Management
  • Expert knowledge of TriResolve for collateral reconciliations
  • Bachelor’s degree is preferred; MBA, CPA or CFA is a plus
78

VP Cash & Banking Solutions Resume Examples & Samples

  • Manage bank deposit sweep and money market fund programs, including developing and managing bank and key partner relationships
  • Collaboration with internal business partners, including client-facing teams, finance, and operations, to deliver best-in-class product solutions, while achieving revenue targets
  • Oversight of Collateralized Lending program to include collaborating with partner banks on marketing plans, managing internal processes to achieve the optimal client experience, and consulting with internal business partners and Financial Advisors to assist in identifying the best solutions for clients
  • Define and implement strategic profit and growth roadmaps for assigned products
  • Provide thought leadership on a wide range of subjects related to cash and banking services, including regulatory matters, market trends and the competitive landscape
  • 7-10 years related experience in the Banking/Brokerage industry; with a strong understanding of bank deposit and loan products
  • Articulate, confident, driven professional with the ability to work with like-minded professionals in a results-oriented, fast-paced and growing environment
  • Understanding of the regulatory landscape with regard to sweeps and bank products
  • High level of intellectual curiosity and business acumen
  • Demonstrated ability to effectively interact with all levels within an organization
  • Superior communication and presentation skills
  • Strong project management and organizational skills, attention to detail and the ability to prioritize and multi-task
  • College degree required, advanced degree a plus
  • Series 7 and 66 (either have or be willing to obtain soon after hiring)
  • Proficiency in Microsoft Office products
79

Senior Service Coordinator Cash Reconciliations Resume Examples & Samples

  • University degree/college diploma
  • 1 to 3 years of Cash Reconciliation experience within a Financial environment (Banking preferred)
  • Good knowledge and understanding of the bank’s key products and services, processes and controls (Credit Cards, Debit Cards)
  • Good knowledge of departmental systems and applications
  • Strong investigation skills
  • Change leadership skills
  • Good written and oral communication skills
80

Fixed Income Cash Client Processing Analyst Resume Examples & Samples

  • The ability to multi-task and proven ability to work under pressure in a constantly changing environment
  • Strong interpersonal, organizational and communication skills
  • Must have abilities to understand and focus on risk management within daily responsibilities
81

Operational Risk Cash Associate Resume Examples & Samples

  • Orders coin and currency from the Federal Reserve Bank to maintain proper inventory levels in the various money rooms
  • Collates balances and/or imports daily reports; i.e. general ledger, Easytrieve reports or vault inventory reports
  • Provides telephone support for armored car issues or branch cash levels issues to the Banking Network staff
  • Maintains the CashMaster system, to include daily import, generating monthly branch and ATM forecasts and maintaining accurate branch and ATM profiles
  • Provides regular weekly and monthly reporting of outstanding vault level variances to the Banking Network
  • Advanced spreadsheet knowledge and experience
82

Black Rock Cash Reconciliations Analyst Resume Examples & Samples

  • Identify and manage all operational risks
  • Reconcile and publish all cash accounts allocated to you by the agreed deadline
  • Previous query handling, client service experience a distinct advantage
83

Cash Trader Resume Examples & Samples

  • Trades DM Markets
  • Manage risk and making markets to clients
  • Liaise with tech, quant, compliance, legal and local offices
  • Drive business requirements for all facets of the franchise
  • Interact with other citi trading groups such as flow, warrants, and other trading desks to maximize synergies
  • Enhance franchise client and exchange relationships
  • Grow the business significantly from its current levels
  • Knowledge of DM markets and products
  • Interaction with retail order flow
  • Experience in market making and facilitation hedging
  • Proven trading skills
  • Proven risk management skills are critical
  • Must work well as part of team
  • Interpersonal and communication skills essential for working with internal and external groups
  • Basic knowledge of investment types, specifically listed equity
  • Proven track record of running a risk book profitably
  • Experience in executing orders across the DM markets
84

OP Cash Offc Swtchbrd Outfittr Resume Examples & Samples

  • Receives and directs all incoming calls in a cortesy and polite manner. Maintains highly professional courteous communications in all daily contacts
  • Is courteous and professional while answering basic customer questions and making store announcements
  • Secures and logs keys, RF guns,radios and other equipment as assigned and ensures their return at store closing
  • Monitor and check items entering and leaving through the employee entrance such as, but not limited to: purchases, handbags, briefcases, coats and lunch containers
85

Supervisor, Cash A / r Accounting Resume Examples & Samples

  • Supervises Accounts Payable personnel responsible for processing company payables, processing of employee advances, and recording of employee relocation expenses
  • Performs financial statement analysis via practical analytical techniques, and identifies significant operational/financial variances
  • Prepares monthly account analysis of balance sheet account;, develops adjusting entries as needed
  • Prepares required financial reports for corporate accounting as well as those required for generation of internal financial package. Reviews monthly account analysis of balance sheet account, prepared by accountants, and instructs accountants on necessary changes
  • Reviews all required tax related reports for the Company including state income, franchise, personal property, etc. as well as provides corporate tax department with relevant quarterly tax information
  • Leads preparation, research and review of outstanding items and preparation of cash accounts receivable reconciliations to ensure accuracy and completeness, and compliance with GAAP
  • Leads identification and implementation of process simplification, standardization, automation or other efficiency opportunities
  • Plans and leads the ingest of new cash accounts receivable reconciliations associated with new business transactions or acquisitions
  • Identifies opportunities for increasing the efficiency of our use of Oracle R/12 Cash Management Oracle Accounts Receivable
  • Leads creation or update of process documentation for our key business processes (including SOX documentation)
  • Develops, leads and monitors communication and status of follow up with field and headquarters personnel, regarding the timely resolution of outstanding billing exceptions and outstanding cash reconciling items
  • Monitors daily, weekly, and monthly reporting to ensure outstanding items or reconciliations are completed in accordance with agreed upon SLAs
  • Proven ability to work in a fast paced and changing environment, with the ability to make quick decisions, based on experience and/or information provided
  • Leads the professional development of employees
  • Oracle R12 (specifically Oracle R12 cash management general ledger) knowledge preferred
86

Cib-mo FI & Cash-team Leader Resume Examples & Samples

  • Analytical skills: Problem solving Data analysis, Decision-making
  • Work management skills: Time and workload management, Self-starter, Planning, achievement Orientation, Productivity focus
  • Aptitude: Outcome focused, self-motivated, flexible and enthusiastic, Professional approach to successfully interact with senior management/ colleagues/ peers
87

Icg-regional Correspondent Banking Cash & Trade Sales Resume Examples & Samples

  • Execute CBG sales strategy for the region in conjunction with global and country partners
  • Portfolio Management and Optimization – Develop deep relationships with key domestic and regional clients. Retain clients and grow volumes/values. Identify cross sell opportunities with clients
  • Market Presence – Be an ambassador for Citi in the region with clients, partners, and industry forums to continue to drive Citi’s recognition as the largest and best in class Correspondent Bank provider. Maintain leading edge expertise of the industry and regional competitive environment
  • Lead complex cash management deals end-to-end including RFP responses and client pitches, recommending innovative cash management solutions
  • Lead and prepare client presentations
  • Actively share with Product Management Team new developments within the market updates and the competitive environment
  • Manage key Balance Sheet Drivers including assets and liabilities, in line with TTS Product Management guidance on deposits and new trade assets (excluding EAF)
  • Experience in a large, multi-national financial services firm and matrix organizational structure preferred
  • Experience working with FI sector
88

Cash Administrator Resume Examples & Samples

  • Manage the servicing of all clients accounts, including processing new business, transfers, general servicing and updates to clients accounts
  • Manage workload to ensure daily allocation is completed within service levels
  • Ensure business added to the platform follows regulatory requirements (AML/PEPS/Sanctions/Negative News)
  • Use global standard policies, procedures and tools
  • Adhere to client money rules
  • Operate within confidentiality and regulatory standards
  • Support colleagues when required
  • Support Lean Methodology
  • Experience of managing own workload
  • Knowledge/experience in the financial services industry
  • Knowledge/experience of Wrap operations
  • Experience of working within a service level environment
  • Proficient in Microsoft Office suite- specifically Excel
  • Process improvement awareness
  • Adaptability
89

Operations Derivatives & Clearing Cash Flow Servicing Analyst Bengaluru Resume Examples & Samples

  • Confirmation / Documentation
  • Settlement
  • Reconciliation / Control
  • Middle Office
90

Cash Operation Analyst Resume Examples & Samples

  • Knowledge in Cash Management processing
  • Bachelor’s degree from university is preferred
  • Good Command of written and spoken English
  • PC skills and able to use advance excel function is preferred
  • Product Knowledge
  • Regulatory requirements
  • Local market knowledge
91

Cib Mo Fi & Cash Team Leader Mumbai Resume Examples & Samples

  • Understand the regulatory requirements working with Legal / Compliance / Industry (ISDA/FI industry groups/MIFID etc) & internal stakeholders
  • Establish the end to end control processes
  • Review & improve the end to end control process around the Regulatory Reporting agenda in FI MO
  • Establish a strategic attestation process on Regulatory reporting for the jurisdictions already implemented to the business
  • Come up with process and system enhancement recommendations
  • Work with business and Technology group to prioritise the requirements by presenting the business case
  • Perform cost benefit analysis to propose optimum future process to the business
  • Ultimately, successfully deliver controlled environment of Regulatory Reporting
  • Previous experience in the Financial Services industry with strong understanding of FI bonds market
  • Strong understanding of Dodd Frank, Liquidity and Mifid reporting
  • Excellent Business Analysis skills to drill down the complex Regulatory Reporting requirements for multiple jurisdictions
  • Strong communication skills, both written and verbal, including the ability to develop relationships across the various stakeholders including Senior Business executives
92

Senior Product Manager, Cash Back Cards Resume Examples & Samples

  • Develop, recommend and implement the tactical and strategic component of annual business plans to achieve business objectives including revenue, profit, volume and market share goals
  • Research market activities to
  • Post-Secondary education is a must. Post-secondary education in Business, Commerce or related field
  • Ability to effectively manage multiple activities of varying complexity
  • Working knowledge of strategic planning, project management skills and product management principles sufficient to identify, develop and implement approved initiatives
  • Excellent presentation and communication skills, both written and verbal
  • Proficient with Microsoft package, specifically Excel
  • Skilled at motivating and influencing
  • Comprehensive knowledge and experience (3-5 years) of marketing practices, procedures and principles
  • Must be legally eligible to work in Canada at the location(s) specified above and, where applicable, must have a valid work permit or study permit that allows the candidate to fulfill the requirements of the role
93

Fixed Income & Commodities Cash Power Trader Resume Examples & Samples

  • Be the product specialist in ERCOT power on all issues related to delivery, transmission, congestion and settlement
  • Work with sales and origination team, including visiting clients, pricing trades, market making, communicating market information etc
  • Work with regulatory group to stay up to date on rule and market design changes
  • Work with desk head to improve infrastructure, risk management and market knowledge
  • Act as a backup in absence of desk head and other team members
  • Manage risk in trading books including estimating pnl and running end of day PnL process
  • Work with middle office and back office on PnL and trade reconciliation
  • Work with IT in improving processes and systems
  • Represent Morgan Stanley at industry events
  • Excellent analytical and quantitative skills
  • Strong research and communication skills
  • Strong interest in the commodities space (particularly energy commodities)
  • Must be an excellent team player and good multitasker
  • Base capabilities navigating big organizations and coordinating with diverse groups of individuals
  • 2-3 years relevant work experience in a relatively quantitative role macroeconomic financial markets
  • Commodities knowledge or expertise
  • Candidates with experience in research functions or top tier consulting organizations will be considered
94

Cash Receipts & Collections Accountant Resume Examples & Samples

  • Provide research and comparative analysis of accounting data
  • Bachelor’s degree in Accounting, Finance or relevant field
  • Three or more years of functional accounting experience, knowledge of cash applications and general finance functions
  • Proficient use of applicable technology - MS Excel, Access, Outlook and Word required
  • Knowledge of Oracle and GoFileRoom preferred
  • Excellent organizational skills, able to handle multiple clients, prioritize and multi-task
  • Able to work in team environment
  • Ability to pay attention to detail, accurate and neat work output
  • Demonstrated ability to communicate verbally and in writing throughout all levels of an organization, both internally and externally
95

Weekend Cash Auditor Resume Examples & Samples

  • Forward documents to Business Manager/Controller (i.e. purchase orders, invoices, check requests, band deposits, petty cash reimbursements and cash orders)
  • Reconcile safe
  • Issue banks to service staff
  • Audit all checkouts
  • Handle lost and found
  • Create credit card manifests
  • Retail comps
  • Run “end of night” reports
  • Reconcile petty cash
  • Issue paychecks
  • Drop change orders
  • Issue change as needed
  • Issue Point of Sales supplies as necessary
  • Account for all party sheets/trades/gift certificates on a nightly basis
  • Prepare Federal Express to central accounting
  • Weekend Availability**
  • 1-2 years experience with cash handling in a high volume facility
  • Basic comprehension in Accounting and Math
  • Knowledge of Microsoft Office (Word, Excel, Access and PowerPoint)
  • Ability to communicate with staff and management
  • Multi-task, meet tight deadlines and recognize and correct accounting errors
96

Cib Transaction Processing Specialist Cash Ops Analyst Shanghai Resume Examples & Samples

  • At least 1-2 years of working experiences in Cash operations
  • Good understanding of internal controls and compliance in local regulations on cash operations
  • Detail oriented and methodical, good analytical skills
  • Good inter-personal and communication skills
  • Good time management skill, ability to work under pressure
  • Demonstrable self-motivation and initiation
97

Equity Cash Client Processing Prematch & Fails Analyst Resume Examples & Samples

  • Conscientious, for example, in seeing issues to a thorough conclusion and to the satisfaction of all parties
  • Excellent communication skills and the ability to interact with colleagues at all levels
  • Prioritisation and time management skills
98

Equity Cash Client Processing Resume Examples & Samples

  • The role is a dynamic role where you will be primarily responsible for Trade Booking, Confirmation, Pre match and Fails on a day to day basis
  • The team will handle high value and complex transactions throughout the day
  • You will also be responsible for building and maintaining internal and external client relationships with key stakeholders such as International Equity Division (IED) Sales and Trading, IED Risk and Institutional Clients
  • An important part of the role will also be to deliver on strategic projects and change initiatives across the Equity CCP team
99

Retail Cash Wrap Supervisor Camarillo Resume Examples & Samples

  • Create an appealing, easy-to-shop environment for customers by coordinating his/her team to consistently execute visual merchandising and housekeeping standards in assigned area of responsibility
  • Ensures the product offer available to customers is maximized in assigned area of responsibility by coordinating product replenishment from the stockroom to the sales floor
  • Applies knowledge of Retail KPIs to make commercial decisions that drive achievement of established sales targets
  • Tracks performance data for assigned area (e.g. best sellers, space allocation, etc.) and makes necessary adjustments to drive productivity and efficiency
  • Coaches, motivates and inspires individuals within area of responsibility to maximize and drive a performance culture
  • Is a role model for customer service and boosts sales and Brand experience by using advanced sales techniques and appropriate elements of the adidas customer service model
  • Actively collaborates and shares best practices to drive store team performance
  • Ability to learn and adapt quickly in a fast paced environment
  • Strong interpersonal and communication skills including the ability to lead discussions in diverse groups of varying size
  • Ability to operate independently and with discretion, and work effectively under pressure
  • High School Diploma or General Education Degree (GED)
100

Manager, Futures Cash Resume Examples & Samples

  • Validation and checking of margin settlements and client payment requests
  • Authorisation of payments
  • Monitoring and effecting movements over bank accounts
  • Development and maintenance of procedure manuals
  • Daily exception reporting to Management and Business Heads
  • Staff training, development and appraisals
  • Monthly KRI reporting
101

Cash Securities Settlements Resume Examples & Samples

  • Complete awareness & understanding of front to back processing/flow including IT infrastructure
  • Running and maintenance of daily/weekly/monthly reporting
  • Analytical mindset to solve reporting issues
  • Ensure all reporting is reconciled
  • Further automation of current processes
  • Prioritize work load to meet all targets
  • Ability to challenge existing processes for increase of efficiency
  • Understand capacity and resource capabilities
  • An ability to multitask, prioritize, complete/review data whilst working to strict deadlines is an essential requirement. Regular reconciliation of data
  • The individual will be responsible for cross asset class MI, cash securities, fx, otc and asset servicing
  • Self-motivated individual that can work on own initiative and deliver on time whilst also being a team player
  • A pro-active approach is expected that will challenge processes whilst working with the business providing a quality customer service on a daily basis. This will involve daily contact with the London MI team. Candidates for the MI team should express a desire to work in a challenging team environment & possess an understanding of Equities, Fixed Income, Stock Loan and Prime Brokerage, FX, OTC and Asset Servicing, from the payable/receivable process in order to ensure all MI is accurate and covers the requirements of the stakeholder
102

Cib Ts Product Cash Product Manager VP Philippines Resume Examples & Samples

  • Develop basic and innovative products in line with Ready to Launch & NBI disciplines
  • Partner with Sales in development of best in class solution sets to fit the Philippines and South-East Asia markets
  • Drive end-to-end product reviews
  • Work with Operations to improve efficiency and STP
  • Partner with Sales to deliver products to fit with our target segments/markets
  • Champion country roll out of regional product launches
  • Responsible for cash management product P & L in Philippines
  • Work with Marketing on development of client relevant product material and collateral
  • Partner with Client Services and Sales to drive excellence in client satisfaction and experience
  • Ensure compliance and risk management of all products with local regulations, both internal & external
  • Assist in developing plans to close local product gaps in order to enhance our competitiveness
  • Completion of product identification and development (including business cases) for new services or service extension projects
  • At least 8 years experience in financial service industry with significant experience in product development/management, especially within transactional banking products
  • Exceptional ability to lead and direct the business agenda and influence the most senior levels of management across the organization
  • Clear understanding of the cash management business, working capital and client cash management needs/buying behavior
  • Familiarity with the various work flows of a transaction and payments processing
103

Equities, Coo, Cash VP / Dir Eqt Resume Examples & Samples

  • Ownership of the financials: revenue, headcount, expenses, balance sheet and risk weighted assets (RWA)
  • Solid Front to Back understanding of trade flows and have ability to drive change in a regulatory environment
  • Work with the desk heads, supervisors, other COOs to embed and improve compliance and controls within the business, including
104

Cash Trader Resume Examples & Samples

  • Trades EM and or DM markets
  • Knowledge of EM and or EM markets and products
  • Experience in executing orders across the CE3 markets
105

Cash Service, Associate / VP Resume Examples & Samples

  • Manage relationships with external service providers to support Portfolio Service teams
  • Identify and participate in initiatives impacting Portfolio Services
  • Lead and manage a small team of professionals. All facets of people management to be performed including: coaching and development, leading and motivating as well as performing 1-1’s, mid-year and year-end staff reviews
  • Represent Portfolio Services (Cash/Assets) in Operational Due Diligence meetings for current and prospective investment and BRS clients. Individual will also assume responsibility for creating and maintaining DD material in coordination with the Client Service Management team as needed
  • Initiate and lead projects related to Cash Services’ annual objectives - 2015 focus area is on understanding and globalizing the usage of Spendable Cash policies across the ISG teams
  • Educate and train junior staff on the growing alternatives business in the EMEA region. Candidate will be expected become a local expert on CLO’s and other alt products and the systems required (i.e. WSO) to support the business
  • Interest in Portfolio Management and understanding the cash process
106

VP, Product Management Cash Resume Examples & Samples

  • Citi Double Cash -- Analysis and Monitoring: This product is the biggest launch in recent Citi history and requires close attention to monitoring the performance. Working with DM, Risk and Finance, this role will produce an ongoing set of metrics to track the launch as well as thoughtful ad hoc analyses to determine how the launch is doing and what actions to take to improve. This will include competitive analyses, reviews of market and customer research, deep dives on our performance vs. competition in all aspects of Go to Market, etc
  • Citi Double Cash -- Existing Customer Marketing: The ECM effort on Citi Double Cash is all new using triggers, month on book strategies, and full 360 marketing. This individual will work with the ECM team to drive redemption, create impactful strategies to drive promo flip, and execute a range of programs particularly via the email channel (from creative execution to program evaluation)
  • Citi Dividend – Strategy: Citi Dividend is now the focus of intense senior interest as a result of its impact on our JD Power survey. This role will take the lead on evaluating the portfolio's potential, looking at the current book and future scenarios (working closely with DM, Risk and Finance)
  • Bachelor's degree required; further advanced degrees (e.g. MBA) desirable but not needed
  • Comfort with credit card basics, particularly around financial and behavioral performance
  • Understanding of basic strategy, analysis, portfolio optimization
  • Very comfortable with modeling in Excel and pulling Cognos information
  • Comfortable with large data sets and with ensuring data quality
  • Able to translate analysis into slides/presentations using Powerpoint
  • Able to create and maintain dashboards with basic metrics
  • Viewed as a key resource, partner and trusted advisor by clients
  • Brings insight and innovative ideas that drive value for clients
  • Is passionate about winning; sets clear and challenging performance goals for self and the organization
  • Creates an executable path for achieving critical objectives and driving meaningful outcomes
  • Provides a clear and consistent line of sight to all team members regarding the most critical work activities
  • Treats people with respect and works collaboratively across boundaries to achieve shared wins
  • Demonstrates a global mindset; promotes and values the unique ideas and perspectives of all team members
  • Partners with others to create strong buy-in and commitment for the best ideas and solutions
  • Supports and champions productive and innovative change
  • Demonstrates optimism and agility in adjusting to new and emerging opportunities and challenges
  • Prepares for the future by crafting forward-looking strategies and plans; Promotes continuous improvement
  • Takes the initiative to solve problems, create contingencies and minimize risks in order to protect the best interests of Citi and its clients
  • Assumes responsibility and ownership for making difficult and bold decisions in order to support the business
  • Consistently makes decisions that serve the best interests of Citi and its stakeholders
  • Serves the team and organization by actively teaching, coaching talent and growing team members’ skills and capabilities
  • Creates a positive team environment in which people of diverse backgrounds feel valued, respected and appreciated
  • Fosters meritocracy and inspires the team to stretch beyond what they thought was possible
107

Cash Mgmt Ops Manager Resume Examples & Samples

  • Ensure full compliance with the different compliance guidelines as well as the regulatory and local laws also make sure that full cooperation is provided to the different control units
  • Overall control of the service provided at the counter for all the branches
  • Actively delivers a superior customer experience
  • Develop operational ideas that result in best serving the bank’s clients
  • Innovate processes to short the cash area long line queues in the branches outlets
  • Analyze customer complaints history if any & ensure providing final solutions for the root problems cause
  • Using the service surveys analysis to make active decisions in favour of the bank’s customers
  • Responsible for updating cash manuals & SLAs
  • Responsible for the cash analysis & MIS reporting to top management
  • Oversee controls and checks relating to the counter and cash control for all the branches outlets
  • Builds effective backups within each & every cash unit team
  • Creates staff awareness and adherence to policy
  • Performance management and assessment
  • Cash managers & Cashiers training and coaching
  • Ensure full controls are in place with the outsource company regarding the ATM’s & providing solutions for the root problems cause
  • Monthly Accounts proofing 198 Account
  • E-recon submission (PO & AO)
  • Cash Management between branches
  • CBE Daily EGP shipments handling
  • FCY shipment handling with the treasury
  • Cash team vacation handling
  • Cash team problem solving
  • Branch’s review & Training visits
  • Support branch’s inquiry’s
  • Vendor management owner ( Super service , Speed service , phlopatire cash services)
  • Responsible for updating cash manuals & SLA’s
  • Oversee controls and checks relating to the counter and cash control for all the branches
  • MIS for all cash activities across all branches to prepare Vital few , Dash Board & other monthly MIS
  • CBE report monthly FX MIS
  • CBE cash position 5001 Daily
  • CBE weekly report 5004 (withdrawals)
  • CBE weekly report 5014 (deposits equal to $50M & higher throughout the week)
  • CBE monthly report 5014 (deposits equal to $50M & higher throughout the month)
  • MCA
  • Cash In Transit (interbranch & reviewing the invoices & update contracts & vendor list)
  • Foreign withdrawals ICG report to Compliance Daily
  • Tickets handoff reports
  • EOD branches closing balances / branches’ excesses
  • Country LCY & FCY limits – in case of excess
  • UAT Testing
  • System enhancement ( tellers limits – FCY Cash withdrawal “ flex & Systematics” )
108

Cash & Credit Assistant Resume Examples & Samples

  • Handle all requests received through client email inbox and voicemail box
  • Prepares audit figures for internal and external purposes
  • Provide backup coverage for cash applications group
  • Prepare monthly accruals for clients
  • Maintain statement and collection database to ensure its accuracy
  • Assists in the preparation of client refunds
  • Complete special projects as assigned including communicating with clients who use incorrect addresses and coordinating payments from R&G Trust
  • Perform other assigned duties and tasks necessary to support the Revenue Department
  • Must be a team player with strong interpersonal skills
  • Self directed with a strong work ethic and high level of customer service
109

Technology Pwm Technology Trading Tech Developer Cash Trading Tech Resume Examples & Samples

  • Design and develop new functionality for the PWM Trading , Order and Execution Management area
  • Strong object oriented design skills
  • Unix, Sybase (or similar RDBMS), any J2EE application suite (which includes but is not limited to technologies like JBoss, Web services, HTML/DHTML) (required)
110

Avp-cash & Trade Proc Manager Resume Examples & Samples

  • Must have strong attention to detail and solid time management and organization skills Demonstrated ability to
  • Able to work weekends and holidays
  • High School diploma or GED required Shift Hours: First Shift: 7am – 3:30pm; Monday – Friday
111

Cash Product Manager Receivables & Payables Resume Examples & Samples

  • Size and segment the market to identify potential areas of focus
  • Monitoring the cash payables and receivables drivers and develop strategies to be implemented thereon
  • Coordinate the internal communications to Operations and Technology and Corporate Bank Group to support the enhancement of cash product knowledge including current issues on the same
  • Lead the identification and evaluation of potential revenue opportunities in new and diverse markets including public sector
  • Lead the growth of mass payment solutions in Kenya
  • Ensure the efficient process of expense management for the payment business in the organization and optimal processing of fees and commissions pricing including tracking all product related MIS
  • Understanding the market and providing products that meet and exceed the client’s needs
  • To develop and manage cash products and their marketing including documentation
  • To Manage the cash product business end-to-end (product offering, pricing, positioning, sales, legal/regulatory requirements, after sales service, delivery channels)
  • To manage payable and receivables products in order to understand cash flow of customers
  • To manage business payment with overall business responsibility for development, sales, and risk in the framework of the TTS Kenya Strategy
  • Effectively monitor, escalate and keep abreast of any fraud risks within TTS serving as the unit Fraud Manager
  • Participate in all UATs that cut across the payments and receivables space and delivery channels
  • Minimum 5 years’ financial services experience in a medium to large organization with a regional or global reach
  • Extensive knowledge of cash management products and banking and financial services business
  • Experience in translating client needs into creative solutions that meet and exceed expectations
  • A problem solver
  • Analytical and a conceptual ability
  • Computing and technology savvy
  • Product development
  • Extensive knowledge of banking and cash management
  • Bachelor’s degree preferably in science, technology and mathematics oriented disciplines
112

Technology Pwm Technology Cash Trading Tech Developer Resume Examples & Samples

  • Work with PWM Sales teams and trading desks on a global basis to gather requirements
  • Analyze requirements and translate into technical designs, develop and enhance existing systems including implementation and rollout/training to global client base new development and existing system enhancements)
  • Production applications support of new and existing applications
  • Experience in GUI development
  • Strong analytical and excellent verbal and written communication skills; team work
  • Experience with requirement initiation, definition, and documentation
  • Understanding of Listed products (Equities/ Options/ Fixed Income) securities and flows
  • Experience in development, integration or maintenance of Order and/or Execution Management systems
113

Cash Mgmt Product Manager Resume Examples & Samples

  • Assist in market analysis includes product strategy development and communication, industry trend tracking, market surveys, competitive intelligence gathering, regulatory intelligence gathering, collating client feedback and segmentation analysis
  • Assist in strategy includes developing, articulating and communicating product strategy, roadmap prioritization, P&L Management, cost and revenue analyses, and designing and executing actions to reduce costs, enhance revenues and maximize profitability
  • Product Administration includes participation and leadership in internal partnership meetings and discussions, cooperating with, responding to and remediating findings related to audits, vendor management, compliance with regulatory and compliance issues and updates, and risk management
  • 5 to 7 years of directly related experience
114

Senior Manager Credit & Cash Collection Resume Examples & Samples

  • Lead, motivate and develop the Credit team while ensuring team adherence to all company procedures and regulations
  • Set targets for the Credit team, regularly reporting actuals against key performance indicators and explaining key deviations from plan as needed to Leadership
  • Maintains responsibility for applying the company's credit and collection policies, practices, and procedures to the credit requirements of a designated number of customer accounts within specified dollar limits or normal credit lines
  • Handles non-routine credit inquiries and correspondence, supervises collection correspondence, appraises the results of assistants, takes or recommends remedial action as required and trains new employees in credit policy and communications
  • Personally handle credits beyond subordinate's authority; major accounts requiring individual attention, marginal accounts, problem accounts, special credit arrangements, and deviations from standards
  • Improve the debtor day position through improved cash collection techniques, clearly defined team objectives, effective training and guidance (i.e., by enforcing payment terms and ensuring customers pay on time)
  • Manage risk effectively, maximizing at the same time volume opportunities, utilizing credit limits, risk categories, on line risk assessment procedures and credit insurance policies
  • Manage ad hoc projects, working with other departments to improve efficiency in customer service, company profitability, etc
  • Develop policies, systems, processes, reports and opportunities to improve efficiency and internal control of debtors ledger and all related activities
  • Proactively develop new collection techniques
  • Must possess excellent communication and leadership qualities
  • Must possess thorough understanding of business policy and direction
  • Must be a highly motivated team player who can manage multiple personnel and work cross-functionally
  • Must be deadline driven, results-oriented, and able to manage multiple projects and priorities simultaneously
  • Must be able to read, analyze, and interpret general business periodicals, professional journals, technical procedures, or governmental regulations
  • Must possess ability to write reports, business correspondence, and procedure manuals
  • Must be able to effectively present information and respond to questions from groups of managers, clients, customers, and the general public
115

Team Lead-banking & Cash Solutions Resume Examples & Samples

  • Manage day-to-day performance management functions for the Servicing Operations and Revenue Assurance teams
  • Provide coaching and quality oversight for transaction processing and daily work items
  • Settlement and loan modification authority
  • Perform daily approval authority reviews/approvals, transaction overrides and troubleshoot processing/servicing issues
  • High School or equivalent
  • 3-5 years experience in related field
  • Banking, loan administration, loan operations, and general loan servicing
  • Knowledge of lending regulations of both consumer lending and residential mortgage lending
  • Demonstrates effective people leadership, strong communication, understand analytical methods, and problem solving skills
  • Associate or Bachelor’s degree
  • Strong knowledge of FIS Banking System platform, processes and procedures
  • Knowledge of Consumer Collections and Recovery Collections
  • Banking regulations, Home Lending (Real Estate Settlement Procedures Act, Truth in Lending Act, etc.), Collections (Fair Debt Collection Practices Act)
116

MYS Ctsm Pg-cash & Trade Process Analyst Resume Examples & Samples

  • University degree in Finance or Administration
  • 1-3 years in banking, client interaction / servicing or operations, preferably in Transaction Services and/or Corporate Banking
  • Experience with Transaction Banking products – Cash Management and Trade
  • Experience in working in a multi-country setup
117

Mumbai AIS Pricing & Cash Reconciliations Resume Examples & Samples

  • Gathering information from various fund houses, banks and liaising with them
  • Perform daily, weekly and monthly pricing with proper due diligence
  • In-depth analysis, calculation of the returns and understanding of market changes in relation to the performance and valuations of the underlying hedge funds
  • Reconciling the cash balances daily and performing the required checks when monitoring the settlement of cash transactions
  • Researching and identifying breaks
  • Reporting to internal operations teams and communicating with custodian banks about cash transactions
  • Maintenance of integrity and secrecy of the firm
  • Manage risk associated with the job profile
  • Involvement in projects related to the job function and liaising with IT on automation projects
  • Time management and prioritizing to meet the time sensitive daily deadlines
  • Graduate (Commerce preferred)
  • Should have a keen eye for details and accuracy
  • High degree of computer literacy, including working knowledge of Windows-based applications such as Word and Excel
  • Knowledge of hedge funds or pricing is an added advantage
  • An ability to ?think outside the box? and look for creative solutions
  • Self-starter with the ability to take a proactive approach to projects and tasks in implementing solutions
  • Demonstrate ability to work effectively in a team-oriented environment
  • Ability to identify and escalate risk issues to stakeholders
  • Organizational skills, including the ability to coordinate, prioritize, and manage multiple activities
  • Ability to work effectively with minimal supervision and flexibility to adapt to changing needs and requirements
118

Cash Sales Resume Examples & Samples

  • University graduate with banking experience in sales and/or relationship management
  • Confident, innovative, motivated, and result oriented
  • Strong communication, presentation and project management skills
  • Solid cash management product knowledge and relevant sales experience preferred
  • Fluent command of written and spoken English and Chinese
119

Cash & Collateral Mgmt Senior Mgr Resume Examples & Samples

  • Manage a team of at least 6+ FTEs in NYC and/or Buffalo. This may include offshore oversight in India
  • Manage team’s daily incoming and outgoing margin calls to ensure completeness and accuracy
  • Manage and lead strategic department, industry and regulatory initiatives and projects relating to Margin
  • Active engagement in technology / process improvement initiatives
  • Daily interaction and support to Business, Credit, Treasury and/or Legal queries relating to collateral
  • Actively work with credit officers to help manage credit risk of clients
  • Determine eligibility of collateral
  • Ensure effective exception management (i.e., fails, disputes, etc.) which includes appropriate controls and escalations processes are in place
  • Approve entries for collateral movements
  • Approve the release of collateral
  • Track movements in mark to market on open positions
  • Actively participate in internal and external audit reviews
  • Ensure team members are developed and properly trained to effectively perform their functions
  • Professional with a minimum of 3+ years of margin operations experience
  • Minimum 3+ years of people management experience
  • Strong interpersonal skills with demonstrated people leadership / management experiences and the ability to influence and empower people
  • Strong planning, organization and process management experience
  • Excellent presentation skills including the use of PowerPoint
  • A proven solution driven approach to problem solving
  • Able to influence organizational change through detailed analysis and sound presentations to business managers
  • Strong oral and written communication skills are required for interaction with the counterparties and the business
120

Asset Management Cash Processing Team Lead Resume Examples & Samples

  • Accountable for Operation Risk Management including support of CSA process and error and defect identification and remediation
  • 2-4 years Transaction Processing Experience
  • Previous Management Experience preferred
  • Issue resolution
  • Organizational skills and solid written and oral communication
  • LOB knowledge
  • Business processes and procedures
  • Product knowledge
121

Sec Processing Rep-cash Administrator Resume Examples & Samples

  • Provides support to most operational processes as needed. This includes performing various administration tasks falling under the remit of the Cash Team ensuring processed right first time
  • Develop strong working relationships with external clients
  • Direct liaison with third parties both in terms of documentation forwarding and query/issue resolution
  • Participates on UAT implementation and training activities
  • Properly monitor errors to ensure adherence to audit and control policies and demonstrate ownership of queries and follow through to successful completion
  • Understands the procedures and controls required for custody accounts
  • Participate in activities related to compliance and follow all relevant procedures in relation to cash applications
  • May train others and share specialist knowledge with colleagues
  • Provide feedback on project related activities and identify process improvements and share best practices
  • May support an expansive array of products/services
  • Works under limited supervision and manage workload to ensure all business is processed accurately and on a timely basis and to ensure that all targets and internal service levels are met
  • Demonstrates technical/administrative expertise. Applies specialized functional area skills and basic knowledge including underlying professional/technical principles or standards, which are well defined
  • Understands how duties relate with others in the team/unit and how the unit integrates with others in accomplishing the work of the function
  • Prior work experience in a related job that would provide a basic knowledge of activities, policies, and procedures of the work area
  • Good working knowledge of Microsoft Word, Excel and Powerpoint
  • Excellent organisation, planning, prioritisation and time management skills
  • The role holder will ideally have relevant experience in cash new business team
122

Platform Manager Business Banking & Cash-sydney Resume Examples & Samples

  • Management of the platform TCO; actively managing the platform expense base through engagement with operations and engineering teams
  • Ownership and delivery of the platform road map; working with business, technology and vendor stakeholders to develop technology roadmap and ensuring alignment to the BFS strategy
  • Risk management; managing the portfolio of risks and dispensations
  • Service level management; development, management and ownership of platform NFRs
  • Vendor engagement and management; manage the overall vendor relationship including performance tracking and governance develop and maintain strong ongoing working relationship with vendor up to senior local/regional level
  • Stakeholder management; both internal and external relationship with project/program/release mangers, business and technology account management and central VMO
  • People development
  • Broad technology experience, including exposure to platform ownership
  • Strong stakeholder and vendor management skills
  • Previous success leading critical systems in a fast paced and dynamic environment
  • Proven ability to own technology projects that deliver on stakeholder expectations
  • Excellent interpersonal skills, strong influencing and relationship management capabilities
123

EFD Cash Administrator Resume Examples & Samples

  • Process daily cash deposits and reconcile lockbox data transmission to deposit total. Resolve differences
  • Key entry/upload cash transactions into the lease information system
  • Perform system clearing of suspense items and prepare necessary entries or tickets to clear suspense accounts or inter-company cash transfers
  • Process lease dispositions and cash adjustments
  • Handle special requests from Customer Service or Collection departments and provide assistance on proper coding
  • Reconcile daily cash activities processed to the total deposits
  • Process lease funding requests and issue check payment
  • Set up ACH or wire as required for management approval
  • Ensure all payments are balanced to funding requests. Mail checks to customer per mailing instructions
  • Generate daily check register report or log
  • Provide back-up support for Equipment Lease Servicing
  • Performs other job-related functions as assigned or requested
  • 2 - 3 years’ experience processing and posting cash
  • Research information
  • Use Personal computer
  • Volume processing
124

Core FP&A Commercial Engines Cash Flow Resume Examples & Samples

  • Direct monthly closing activities and variance analysis for consolidated P&W cash flow, capex, and inventory/working capital
  • Lead monthly forecast activities and variance analysis for consolidated P&W cash flow, capex, and inventory/working capital
  • Prepare presentations to management highlighting key drivers of cash flow performance
  • Support the quarterly OMM budgeting process including the 10 year plan submission to UTC Strategy
  • Communicate cash targets, risks, and opportunities to business unit CFO to drive business results and key initiatives
  • Fully embrace the principles of and participate on teams supporting ACE
  • Administration
  • Business Development
  • Commerical and Industry Relations
  • Communications
  • Facilities
  • Finance
  • General Management
125

Cash Head-zambia Resume Examples & Samples

  • Segmentation, customer needs identification, competitive benchmarking, maintenance & enhancements, pricing , capacity planning, delivery and project implementations
  • Determining products suite development and maintaining best practice and success transfer
  • Working in tandem with relationship managers to increase bank liabilities on a monthly and annual basis
  • Subject Matter Expert responsible for guidance to Sales/RM’s in respect of customer acquisitions and successful knowledge transfer to internal business partners in respect of liquidity management products including (but not restricted to) short-term passive / active investment options, notional pooling and target balancing
  • Establish and maintain internal communications with O&T to ensure enhanced TTS product processing and delivery
  • Overseeing the efficient operation of the domestic account products (FCY & LCY) with a continual focus on enhancing profitability, providing smoothed revenue flows in tandem with product growth
  • Manage the expenses line of the P&L in particular the CIT costs, correspondent bank costs and other allocated costs. Maintain positive cash EBIT and net income on a monthly basis
  • Preparing business needs and justification for BRD requirements
  • Identification and evaluation of potential revenue opportunities in new and diverse markets in all industry segments. target sales at the larger country flow opportunities
  • Liabilities growth as per the ALCO liability policy through innovation
  • Ensure an efficient process of tracking fees and commissions and increasing revenues from fees and commissions
  • In collaboration with RM’s maintain an actives sales pipeline on CRM and follow through on executions
  • Manage and own the TP process to ensure efficient balance sheet management, liquidity monitoring and maximization real returns to the bank
  • Maintaining product Distribution/Network strategy and Maximising delivery channels utilisation
  • Budget and planning, implementation, monitoring and control
  • Good understanding of the Ugandan market and requisite regulation
  • Strong numeracy and computer skills
  • Good negotiation skills and the ability to take deals to a speedy conclusion
  • Strong Process Orientation
  • Identify and pursue new business opportunities
  • Package the product according to market dynamics
  • Desirable; Degree or Post graduate degree in Business
126

Cib-cash Concentration Product Manager Resume Examples & Samples

  • Previous experience in cash concentration product set strongly preferred
  • At least 5 years previous banking and/or Treasury Services experience
  • Liquidity and investment product knowledge desired
  • Inquisitive nature with advanced problem solving and critical thinking capabilities
  • Proficiency in MS Office suite of products, especially MS Excel and MS PowerPoint
  • Ability to influence and coordinate multiple internal stakeholders to support the product offering
  • Basic knowledge of cash management and liquidity products with 2+ years of Liquidity management experience preferred
127

Cash Administrator Resume Examples & Samples

  • Accurate and timely processing of customer monies
  • Accurate and timely preparation of PeopleSoft journals to reflect processing activities
  • Timely response to and resolution of any internal/external stakeholder queries
  • Sound Accounts Payable or Accounts receivable understanding
  • Sound numerical skills
  • Excellent communication skills, has ability to communicate effectively by phone, letter, email and face to face to internal and external customers and stakeholders
128

Core Cash Market Manager Resume Examples & Samples

  • Client industry segmentation, developing product collateral for segment needs, devising marketing strategy to enhance the visibility of Cash Management products and developing packaging and product positioning by segment
  • Develop and commercialise packaged solution for Procure to Pay and Order to Cash proposition. Identify new packages to enhance client base. Lead the commercialisation of new solutions in both Payments and Receivables and LMS teams
  • In collaboration with LMS MM team, develop and drive initiatives to tap cross sell opportunities and build joint propositions
  • Market sizing and analysis (existing client base and potential target market)
  • Pipeline generation and management in partnership with TTS Sales organisation for Cash Management product in EMEA. Identifying new target names, new segments, new flows, etc
  • Collateral overhaul – Review and revamping of the Cash Management product collateral. Preparation of marketing and sales support collateral, in line with the strategy
  • Competitor Analysis – Building a competitor framework for Cash Management. Conduct industry and competitive analysis, and stay current on competition’s product capabilities, positioning and pricing strategy. Gathering market info to further develop the product proposition
  • Prior experience of Cash products through Business Management, O and T, Implementation, Service, or Sales would be a benefit
  • Awareness and understanding of industry trends, ability to identify and execute strategic opportunities within product set
  • Sound knowledge of Microsoft Office applications essential – MS Excel and PowerPoint in particular
  • Excellent interpersonal skills, to be able to work together with people from over 50 countries, as well as across various functional groups
  • Analytical mind and attention to detail, to support a relatively large business
  • Ability to perform under pressure
129

Avp-cash & Trade Proc Senior Analyst Resume Examples & Samples

  • 3 + years of experience in business / opersions and/or risk and control ares
  • Able to interpret and apply policies, standards and procedures
  • Sound, deep knowledge of risk and control methodology and best practices; preferably and understanding of Citi's R&C programs (ie MCA)
  • Familiar with and able to assist with other enteprise wide policies such as records management, COB and information security
  • Program/Project Management Experience
  • Strong Analytical and Problem Solving Skills
  • Strong work ethic and a high degree of professinalism within a global mindset
  • Exceptional verbal, written and presentation skills
  • Abililty to work with all levels of management
  • Strong interpersonal and realationship skills
  • Travel = 10%
130

Cash & Trade Proc Manager Resume Examples & Samples

  • Computer/Technical Literacy
  • Flexible/Adaptable
  • Leadership Skills
  • Hours: Monday-Friday 7:00a-3:30p
131

Cash Mgmt Sales Coordinator Resume Examples & Samples

  • Proactively mines the cash management book of business for opportunities to manage exception pricing, exception ECR and fee waivers. Reviews client product usage to determine cross sell opportunities within existing book of business. Recommends sales opportunities to sales consultants
  • LI-KJ1
  • Bank product and service knowledge
132

Cash & Trade Process Analyst Resume Examples & Samples

  • Coordinate and manage with TCS for smooth transaction processing of outsourced processes
  • Optimization and reengineering of trade process flow to improve efficiency and productivity
  • The profile needs to have understanding of trade products like Imports, Domestic bills (including Guarantees to certain extent) and ability to communicate with RBI. Given the multitasking for branch trade products, need to have knowledge around FEMA and associated solutions
  • Process and analytical skills with eye for detail and use systematic and creative approaches for problem solving
133

Bookkeeper, Cash Administration Resume Examples & Samples

  • Receive and administer payment requests in accordance with internal procedures
  • To prepare and enter all transactions into relevant system workflow, fully responsible for the accuracy of all aspects of the transaction
  • To have effective control of own workflow to ensure all transactions are processed in line with cut-off times
  • Collate all paperwork to accompany the transactions for authorisation and ensure it is properly referenced for scanning/filing or further bookkeeping
  • Book keep transactions accurately by obtaining the relevant documentation from various sources & systems, ensuring documents and databases are updated if required
  • To investigate and respond to all bookkeeping queries within a 24 hour period and maintain a log of issues/inefficiencies identified within to discuss with manager and relationship officer
  • Ensure all work is produced and completed in line with departmental procedures and other client & business unit SLA’s
  • Develop relationships with internal and external business units to enable effective investigation and solving of queries
  • Minimum of two years experience in fiduciary services
134

Cash Reconciliations, VP Resume Examples & Samples

  • Ensure that all cash accounts are reconciled and correctly published for investment each day by the agreed deadline
  • Monitor daily resolution by the team members of all open bank items and ensure that all transactions are properly accounted for
  • Ensure timely escalation of all material / serious issues with the custodian bank and management
  • Ensure a regular dialogue with the custodian banks assigned to the team and that all issues are raised / escalated to manage service levels
  • Work with Onboarding to coordinate new/ terminated accounts and custodian changes to ensure these changes are correctly implemented
  • Ensure the team has a full understanding and experience of all systems required to complete the role
  • Ensure that the team communicates clearly and responds promptly to enquiries from other teams with the appropriate urgency; manage the team’s workload to help achieve this
  • Ensure daily operating procedures and processes are compliant with CASS regulations
  • Maintain procedures up-to-date at all times and ensure that all team members are familiar with and follow these
  • Support and ensure participation in projects and ad-hoc tasks as allocated from time to time
  • Attend interviews for new team members and assist with staff selection
  • Provide training and assess competence of all new team members maintaining records of progress towards their becoming fully competent in the role
  • Draft performance review materials and prepare for review meetings with input from others; attend and lead review discussions
  • Discuss, implement and manage individual personnel objectives within the team
  • Communicate corporate and department goals, objectives and plans to the team
  • Coach, council, train and develop staff to meet the requirements of the business, to make the department work effectively, and to ensure personal development
  • Support the development of you team
  • Keen interest in investment products with previous experience in investment management
  • Proven ability to learn new applications/ systems
  • Previous query handling, client service experience required
  • Previous experience of client custody reconciliation
  • Previous experience of working in a team leader capacity strongly preferred
  • IOC qualification (3 papers) required, or a commitment to securing the necessary qualification within an agreed timeframe
  • Proficiency in Microsoft Office, with a preference for particularly strong Excel skills
135

Cash Payment Resume Examples & Samples

  • Manager's checks / Demand Draft
  • Paylink Check, GIRO, Dividend, and Payroll
  • Wordlink issuance
  • Support various system testing including COB
  • Attend to customer enquiries within stipulated time frame
  • Perform system maintenance and set up's
  • Candidate must have a degree in any fields preferably in Banking and Finance
  • Working experience specially in Banking Operations will be an added advantage
136

Equity Cash-senior Sales Trader VP / Director Resume Examples & Samples

  • Bachelors required
  • At least 5 years of equity cash sales trading experience
  • Demonstrated team commitment, resilience and strong work ethic
137

CIB Equities Cash Trading ED / VP Resume Examples & Samples

  • Bachelor’s degree in Engineering, Math or related quantitative field
  • Someone who thrives on the challenge of competitive pressures and is able to remain focused on client needs
  • Experience in Capital Markets required
  • Superior time management and multi-tasking skills to juggle live transactions and daily tasks
  • Maturity and the ability to succeed in a dynamic, fast-paced and open environment
138

Investigations Specialist for Cash Payments Resume Examples & Samples

  • Investigations and inquiries regarding payments from clients and banks
  • Cancelling, executing and returning in- and outgoing payments in all currencies
  • Collecting data necessary as well as contacting client advisors or external counterparties for more information
  • Giving advice and information to internal and external clients about
  • Payments processing: payment routing, cut-off times, pricing
  • Payment optimization: proactive actions regarding data quality of payment instructions
139

Cash Pro Champion Resume Examples & Samples

  • Skilled resource focusing on improving client delight with new and existing CashPro users
  • Provide custom on-boarding experience for new strategic clients implementing CashPro
  • Work directly with CMs, TSO and TSA to target strategic BB and GCB clients that could benefit from a Champion engagement
  • For targeted existing clients, host formal eChannel Optimization Reviews. Purpose of these engagements: help clients improve their current processes and drive additional usage of CashPro eChannel solutions
  • For new clients, assist client in setting up application within company, ensuring all applications are working as desired to meet client requirements
  • Deep understanding of CashPro application
  • Strong technical acumen
  • Effective communication skills (verbal and written)
140

VP-cash & Trade Proc Senior Manager Resume Examples & Samples

  • Provide management oversight of a team of 3 exempt and 9 non-exempt staff members across multiple shifts to ensure controlled and timely processing of ledger and sub ledger entries in compliance with internal policies
  • Execute against all processing, associated exceptions, and proof functions as well as timely resolution to business partner investigations
  • Identify and implement process and control improvements
  • Interact with Operations, Technology Support teams and Financial Control on a regular basis
  • Lead continual process re-engineering efforts, efficiency management, quality improvement and control enhancements
  • Recommend enhancements, identify benefits, and implement training as needed to ensure compliance with internal audit programs and regulatory requirements
  • Monitor cash breaks and manage towards quick resolution and produce MIS to measure unit effectiveness on aging standards as they relate to Client Operations objectives
  • BA/BS degree or equivalent work experience required
  • Minimum 2 years of Operations/Supervisory experienced required
  • Strong leadership skill with a proven record of providing results
  • Strong written and verbal communication skills and the ability to communicate successfully with all levels of the company, including senior management
  • Strong interpersonal, analytical and problem solving skills
  • Demonstrated ability to implement process improvements
  • Analytical with the ability to adapt to change in a fast paced environment
  • Control and Risk Oriented
  • Strong Customer Service skills are a must
141

Actuarial Analyst Ameriprise Cash & Certificates Resume Examples & Samples

  • Bachelor’s degree in math, finance, statistics, actuarial science, or related field
  • 1 to 2 actuarial exams completed
  • Proven analytical, quantitative & problem solving skills
  • Written and verbal communication skills, including the ability to effectively summarize and communicate results from data requests and analyses
  • Strong organization skills with strong attention to detail and an eye for accuracy
  • Professional, self motivated individual with the proven ability to take ownership, personal
  • Accountability and initiative of accurate and timely completion of assigned responsibilities, sometimes with little direction
  • Ability to be resourceful and be adept at using independent judgment to anticipate, identify, address, follow-up, question and resolve issues and concerns
  • Proficient with all Microsoft Office applications, including Microsoft Word, Excel and PowerPoint
  • Ability to handle confidential and sensitive information with a high degree of integrity
  • Strong interpersonal skills and ability to develop strong working relationships with team members and business partners at several levels to drive projects and issue resolution and documentation of results
  • Understanding of concepts related to Certificates and Cash products
  • Experience with Moses (corporate financial modeling platform), Access, Visual Basic, SAS, or Focus
  • Ability to use statistical analysis and modeling
  • Proven experience proactively supporting multiple initiatives
  • Experience working with large quantities of data and summarizing analytical results
142

Administrator, Cash Administration Resume Examples & Samples

  • Receive and administer payment requests in accordance with internal procedures, fully responsible for the accuracy of all aspects of the transaction
  • To have effective control of own workflow to ensure all payments are administered in line with banking cut-off times
  • To book keep receipts, forex transactions, debits and external bank accounts and any other transactions accurately by obtaining the relevant documentation from various sources & systems, ensuring databases are updated if required
  • To complete accurate paperwork & bookkeeping in relation to forwarding cheques to C&I banking to receipt to client bank accounts
  • To complete reconciliations and accounts files accurately and in line with internal procedures
  • Adherence to procedures relating to administration of assets to minimise risk of error or omission, ensuring all work is produced and completed in line client & business unit SLA’s
  • Proven experience in fiduciary services
143

Cash & Trade Assoc Cust Svc Analyst Resume Examples & Samples

  • Responsible for investigating and resolving client queries in accordance with the SLA
  • Input all inquiries into Trims Phone Log for tracking and audit purposes
  • Interact with Relationship Managers, Product Managers, Sales, FI units, and Technology to resolve client or operational issues
  • Maintain client satisfaction by responding to problems quickly
  • Minimize risk to the Bank through increased knowledge of procedural requirements
  • Interface with Technology to drive the improvements that will lower costs
  • Perform multiple transactions of moderate complexity to achieve operating efficiency and high level of productivity
  • Interface with Product and Technology on system/product enhancements
  • Proficient in Citidirect application; ability to train clients and deliver demonstration when needed
  • Basic computer skills in Microsoft Access, Excel, Outlook and Word
144

AVP Cash & Trade Proc Manager Resume Examples & Samples

  • Dependable/Reliable/Responsible
  • A Bachelor’s degree, or equivalent work experience 5+ years industry experience
  • Proficient in MS Office Applications (i.e. Excel, Access, Project, Word, etc.)
  • Hours: 3rd shift - Sunday through Thursday, 11:00 PM to 7:30 AM
145

Petty Cash Coordinator Resume Examples & Samples

  • Excellent accuracy and eye for detail
  • Data entry proficiency
  • Demonstrated tact in high-pressure situations
146

Cash Settlements Analyst Resume Examples & Samples

  • Perform and support cash settlement functions which include-
  • Process Official Checks on global plus system
  • Process Incoming and Outgoing ACH (Automated Clearing House) payments
  • Review all Checks presented for payments
  • On a daily basis review and reconcile General Ledger balances which include Checks Reconciliation Monitor and report outstanding checks and maintenance of abandoned property log
  • Interact with Global Cash Settlements team to ensure timely completion of requests and meet service deliverables
  • Identify and correct the description codes used for transactions processed in EBT accounts
  • Calculate co-trustee commissions for the trust accounts as per predefined excel sheets and prepare annual tax letters ‘1099’ at the year end
  • Respond to all process inquiries on same day through email/phone
  • Follow up on the pending items from the CSA’s/RM’s or PM’s and business
  • Support the team in daily work and display team work
  • Verify and perform quality checks for the tasks assigned and performed by other team members
  • Participate in Disaster Recovery Exercises and any projects assigned
  • Relevant experience of 1-3 years in Banking and Financial Services Industry
  • Ability to maintain updated knowledge of procedures, products and activities of assigned area
  • Ability to accurately proofread documents
  • Ability to perform multiple tasks in a fast-paced, team environment
  • Ability to manage own time to meet specific deadlines
147

Accountant, Cash Resume Examples & Samples

  • Qualified / part-qualified accountant with CIMA, ACCA, ACA
  • A good level of directly related professional experience
  • Prior team leading experience
  • Competent knowledge of FASB requirements, accounting principles and practices, and internal control principles
  • Strong customer service and communication skills
  • Proficiency with Microsoft Office suite of products; advanced MS Access and Excel skills
  • Hyperion experience preferred
148

Senior Analyst, Cash & Collateral Svcs HFS Resume Examples & Samples

  • 1-2 years of Financial Services experience; preferably in Foreign Exchange or Trading Operations
  • Cash management experience is helpful
  • A familiarity with Financial Operational experience is required. Derivatives exposure a plus
  • Excellent written and oral communication skills with a strong attention to detail
  • Experience with excel modeling including VBA, macros, if-then statements, lookups etc
  • A sound understanding of basic accounting principles and procedures
  • Bachelor’s degree in Finance/Economics or related discipline
  • Bachelor’s degree in Finance/Economics or related discipline.is preferred
149

Cib-mo FI Cash-VP-mumbai Resume Examples & Samples

  • Proven management record
  • Strong product knowledge; thorough understanding of the end to end transaction cycle for derivative products
  • Excellent verbal and written communication skills. Individual should have been in a role that required daily and extensive communication directly with FO Sales & Marketing groups
  • Ability to drive results through a "hands-on" approach
  • Ability to work in a high pressure environment with time critical deliveries
  • Control mindset to identify process control gaps, prioritize & mitigate operational risk
  • Excellent time management skill and ability to prioritize work effectively
  • Proactive in problem solving and developing solutions
  • Ability to respond to a changing environment
  • Be innovative and suggest system improvement capabilities
  • Ability to multi task, ensuring the trades are booked correctly, breaks are resolved and MIS being sent to managers on deadlines
  • Creates and/or contributes to an environment of collaboration and mutual responsibility
  • Good understanding of downstream impact of actions undertaken, particularly the requirement for strong and timely controls throughout the life cycle of the trade
  • Graduate with 8-10 years of experience in an investment banking environment, preferably in Middle Office / Trade Support
  • Degree holder in Finance / Economics or other related disciplines (preferable)
150

Business Manager Global Cash Distribution & Equities Distribution Resume Examples & Samples

  • Working closely with Global & Regional Distribution Management & Business Management the candidate will be responsible for delivering front to back business support for the Cash Distribution Business in addition to coordination of European Equities Distribution across Cash, Derivatives & Financing. The candidate will be responsibility for delivering on associated client initiatives & internal programs including
  • Development and implementation of the business strategy
  • Building a framework that delivers client MIS to key stakeholders
  • Coordinating initiatives across European Distribution that span all Equity products
  • Managing local distribution management meetings & client review programs
  • Working with Logistics and control in order to ensure the supervision and suitability control environment for European Distribution is robust
  • Implementing business and regulatory driven changes that impact the business and client base
  • Cost management
151

Oracle Order to Cash Functional Analyst Resume Examples & Samples

  • At least 5 years experience in Oracle Applications system implementation/support
  • At least 2 years experience in Oracle Federal Financials R11i or R12
  • At least 5 years experience in implementing or supporting Order to Cash (O2C) functionality in a Public Sector environment
  • At least 5 years experience in having previously worked with Department of Defense (DoD) agencies
  • At least 5 years experience in leadership, collaboration, and interpersonal skills
  • At least 5 years experience in oral and written communication skills
  • At least 5 years experience in being Customer focused
  • At least 5 years experience in multi-tasking and achieving results while working under pressure in a fast-paced and dynamic environment
  • Security clearance of Secret - Active
  • Readiness to travel Up to 4 days a week (home on weekends-based on project requirements)
  • U.S. citizenship required
152

Cash & Collateral Mgmt Analyst Resume Examples & Samples

  • Send outgoing and answer incoming margin calls in timely manner
  • Book entries for collateral movements
  • Monitor credit risk of all clients
  • Provide excellent customer service to clients
  • Work closely with front office and business heads
  • Settle interest in a timely manner
  • Monitor and resolve collateral balance breaks and fails
  • Development of the skills and strengths required to work effectively in an operations environment
  • Effectively work within a team that is focused on strong controls and excellent metrics
  • Increased operating effectiveness with reduced invalid and disputed margin calls
  • Ability to quickly learn in a fast paced environment
  • Strong planning, organization and process management skills
  • Strong focus on control
  • Must be comfortable with and able to manage complex systems and environments
  • Flexibility with a sense of urgency
  • Must have strong interpersonal skills, including strong oral and written communication skills
  • Knowledge of Futures Markets a plus
153

Accountant, Bank Reconciliations & Cash Resume Examples & Samples

  • Proficient computer skills are a must (Microsoft Office, Accounting systems)
  • Team player with the ability to establish and maintain positive working relationships
  • Client focus
  • Analytical mind-set and ability to prioritize
  • Cooperative attitude
154

Head of Cash Collection Management Resume Examples & Samples

  • Lead the Collector (Capital efficiency) regional team with primary focus on conversion of invoicing into cash and AR reconciliation; use existing resources effectively to achieve this goal
  • Regional responsibility to drive AR collection and resolve blocking issues to secure due AR elimination is performed and reflected in the system according to Ericsson's finance directives, global ways of working and global process instructions. Ensure that the organization is tailored to fit Region/Customer unit specific characteristics/needs - perform the necessary investigation by Customer unit/Key Account to determine most appropriate focus to give effective result
  • Identify internal & external process flow weaknesses & improve speed of collection. Explore and develop tools, systems, methods to improve the collection process
  • Identify opportunities for and drive improved cash collection & provide feedback and support to internal stakeholders for improvement
  • Overall responsible for regular pre-collection meetings internally and with customers to proactively resolve any collection and/or A/R management issues (including related LC/currency/regulatory issues)
  • Support resolution of disputes
  • Secure a professional and positive customer interface in invoicing, payment/collection administration including A/R reconciliation
  • Responsible for coordination of collectors within Region. Provide guidance and training for the effectiveness and efficiency of Collectors
  • Implement proactive cash collection solution into selected Customer Units/Key Accounts
  • Responsible for coordination with and collection support
  • Interface towards Group Treasury and EFC including implementation of process changes as well as escalation of issues and local requirements
  • Provide input to Region's cash flow forecasting and interface towards Business Finance and Company Control
  • Deliver on Customer Unit & Regional cash collection targets & support Order to Cash reduction program
  • Bachelor’s Degree in Finance/ Accounting/ Business/ Engineering or Master in Business Administration (MBA)
  • Having at least 5+ years’ experience in leadership/managerial level, preferably in the area of Finance and/or customer facing function
  • Solid understanding of commercial / contractual / credit management / working capital fundamentals
  • Good understanding of Financial Models and Business processes
  • English proficiency in verbal and written communication is a must, local languages a plus
155

Senior Analyst, Cash & Collateral Svcs., HFS Resume Examples & Samples

  • Serves as a liaison to Investor Services on all new subscriptions prior to effecting cash to the appropriate location
  • Coordinates connectivity with client's banks through SWIFT
  • Works with clients to resolve cash breaks and issues related to wire payments
  • Able to serve as a key subject matter expert and mentor to other more junior level employees
156

Asset Management Cash Processing Specialist Resume Examples & Samples

  • Independent and self motivated
  • Strong relationship building
  • Solid aptitude with Microsoft Suite (Outlook)
157

Cash & Collateral Management Analyst Resume Examples & Samples

  • Ownership of all assigned counterparties
  • Focus on High quality and accuracy of data input
  • Agreeing exposures with Counterparties utilising cash, securities and re-pricing
  • Coordinating, monitoring and booking a high volume of collateral movements using Citi’s internal systems
  • Investigation and resolution of collateral breaks, disputes and queries
  • Develop an understanding of Derivative products and system flows
  • Help to create and build an environment of teamwork and encourage two-way communication across the unit
  • Be an ambassador for the Margin Utility team, raising the profile of the unit across the EMEA, NAM and ASPAC areas
  • Good MS Office skills including Access, Excel and MS Powerpoint
  • Control and risk focused
  • Finance related Bachelor degree or equivalent
  • Industry exams. E.g. CISI
158

Cash &amp Resume Examples & Samples

  • Excellent Core Java knowledge and experience
  • Excellent knowledge of XML libraries
  • Knowledge of mainframe systems (natural adabas) for integration of legacy systems
159

Tts-regional Correspondent Banking Cash & Trade Sales for Greater China & Asia Market Management Head for Asia Resume Examples & Samples

  • Execute CBG sales strategy for the region in conjunction with global and country partners; primary focus on China, Taiwan and Hong Kong
  • Become very cognizant on the key drivers for the business and deliver solid resilience and understanding of aspects that involve the balance sheet optimization and flow related topics
  • Centrally co-ordinate and work with external partners on training programs offered to clients and market research done by external vendors subscribed to
  • Portfolio Management and Optimization – Develop deep relationships with key domestic and regional clients
  • Retain clients and grow volumes/values
  • Market Presence – Be an ambassador for Citi in the region with clients, partners, and industry forums to continue to drive Citi’s recognition as the largest and best in class Correspondent Bank provider
  • Ownership and Leadership – Act as a steward of the business and strongly influence its strategy and market leadership as a key business member of the regional and global sales team. Be the TTS senior client champion on all major transactions to drive wins, revenue realization and wallet penetration
  • Market Development – Develop a Client focus strategy for all key clients. Identify new flows and market plays for the extension of TTS products
  • In-depth knowledge of products, industry and target clients
  • Working with FI sector
  • Proven sales track record
160

Senior Cash Settlements Analyst Resume Examples & Samples

  • Process cash transactions on global plus system
  • Process Checks on global plus system
  • Process stop payments on checks
  • Process all quarterly tax payments in client accounts within specified deadlines
  • Respond timely on customer service requests
  • Input accounting entries for daily general ledger activities
  • Interact with NY Cash Settlements team to ensure timely completion of requests and meet service deliverables
  • Process unitization open orders for custody accounts on global plus
  • Cross train and cover tasks within operating unit
  • Verification for all the events/tasks processed by the Team Members
  • Ensure day to day activities are processed accurately as per the timelines
  • Suggest process Improvements and process efficiencies
  • Responsible for the staff aligned for their development functionally
  • Act as a backup for the supervisor
  • Able to handle day to day activities in absence of the supervisor
  • Help supervisor in process reporting
  • Track the internal errors and ensure Team is updated with the procedural changes
  • Should be able to resolve queries/issues from the Team with minimum dependency on the Business
  • Monitor Generic Mailbox and ensure timely response to the queries from the CSA’s
  • Support supervisor in internal & external audits
  • Background in finance and accounting mandatory
  • Experience in banking operations and processing of cash payments
  • Proficient in Microsoft Office skills – Word, Excel
  • Knowledge of compliance in a banking environment
  • Ability to organize and prioritize workflow and to coordinate the work of others
  • Working knowledge of banking financial transactions
  • Ability to work with little supervision
  • Good typing skills and eye to detail
  • Excellent telephone manners and communication skills – both oral and written
  • Able to backup supervisor in his absence
161

Cash Settlements Resume Examples & Samples

  • Escalation point for issues and discrepancies with external and internal counterparties
  • Investigation and resolution of Client fails
  • Participation in industry forums where applicable
  • Strong Communication skills
  • Excellent organisational skills and the ability to work to tight deadlines
  • Ability to manage work load effectively across a team, develop practical solutions to problems whilst balancing multiple issues and priorities appropriately
  • Team Player who actively promotes sharing of knowledge and collaborate with others
  • Flexibility required to work in a dynamic environment under tight deadlines
  • High regard for attention to detail, accuracy & quality
  • Approaches all situations with positive outlook, solutions orientated and enthusiasm; self-starter who takes individual ownership for work quality and improvement
  • Shows initiative and creativity, taking a long-term approach to improvement and resolution of issues
  • Demonstrates integrity and business-appropriate behaviour
  • Ability to question a process and promote own ideas and solution
  • Previous experience of Client Money, Corporate Actions, Dividends or Coupons an advantage but not essential
  • Previous experience within Settlement operations preferred
  • Strong product knowledge (Equity, FID & FX)
162

Associate Buyer, Home Cash & Carry Resume Examples & Samples

  • Bottom-line financial accountability for product area (shared with Buyer and Planner)
  • Accountable for product selection and product performance
  • Accuracy of buying office work product (i.e. - PO Management)
  • Partner with the Buyer to formulate and profitably execute the development, selection, procurement and promotion of merchandise
  • Develop and implement product strategies that tie to financial plans (partner with Planner)
  • Identify and execute key item and mailer item strategies
  • Review product assortments with Buyer to insure the integration of brands and balance of price points
  • Partner with planning to continually manage the business through in-season analysis and tactical adjustments. Review changes to strategy and the on order with Buyer
  • Regularly communicate with visual presentation regarding inventory levels and assortment changes based on business trends
  • Participate in fiscal planning by recommending areas of strategic focus for the product area: identify growth, maintain and downtrending businesses and brands
  • Conduct Quarterly Strategy Meeting and gain buy-in from storeline, marketing and visual presentation
  • Negotiate with vendors on all costing, discounts, and delivery
  • Manage daily priorities, performance and work product of direct reports
  • Facilitate ongoing communication with planning and distribution teams
  • Visit and sell-in stores monthly: shop the competition regularly for trends and product opportunities
  • Customer, marketplace and product expert
  • Expertise in retail math
  • Decision making capability clearly driven by conceptualizing future opportunities and developing strategic product and business initiatives
  • Strong leadership and team building skills, including the ability to motivate, negotiate and influence effectively across departments and divisions
  • Proven negotiation skills
  • Creative, assertive and solution-oriented when faced with difficult business performance and/or challenging directives from the Buyer and Planner
  • Presentation and communication skills, both spoken and written
  • Prioritize and direct multiple activities
163

Cib-equity Cash Sales Resume Examples & Samples

  • Entrepreneurial drive with strong analytical and quantitative skills
  • Experience working within an investment bank
  • Demonstrates creativity in solving problems. Always looks for new ways of doing things
  • Thoroughly understands drivers of relevant markets and can explain and anticipate market movements
  • Understands transaction cycle and the steps in the process and is execution oriented
  • Ability to thrive on the challenge of competitive pressures and remain focused on client needs
164

Cash & Liquidity Specialist Resume Examples & Samples

  • Processing of time-critical payments in the area of cash and liquidity management
  • Handling of internal interest claims
  • Acting as a competent partner in cash and liquidity matters for UBS internal and external clients globally
  • Executing operational processes according to the rules and regulations of the booking center and policies
  • Providing support for line managers and staff
165

SAP Order to Cash Business Analyst Resume Examples & Samples

  • Applies industry experience and expert SAP knowledge to drive robust global solutions
  • Work directly with business partners to gather requirements and develop global solutions when possible
  • Create/maintain technical documentation (i.e., Functional Specifications, BPD’s, BPF’s, etc.)
  • Good understanding of system integration points within SAP and Partner (non-SAP) Systems
  • Lead/Manage small and medium scale projects that involves cross functional team members
  • Provide SAP functional support to SAP ABAP Development Team
  • Job will require participation on projects in various stages of progress, including production support
  • Requires complex analysis, detailed design, and complex troubleshooting abilities
  • Collaboration with other GIS teams and business partners teams from start (design) to finish (implementation)
  • Participate in the development of training curricula and materials, as well as development of user acceptance testing plans
166

AP Cash Disbursement Specialist Resume Examples & Samples

  • Ensure accuracy of payments listed through Quality Assurance process including a review of Invoice Number, Invoice Date, Dollar Amount, Vendor Name, Remit Address and Approval, etc
  • Prepare payments for mail, including the printing and matching of remittance advices
  • Create check and ACH payments, including the identification of duplicate payments and creation of pay cycle reports
  • Void and escheat exception payments
  • Log, research, and resolve incoming mail
  • Verify payment files transmitted to the bank
  • Perform other duties as required
  • Experience in using Microsoft Office, especially Excel, Word and Outlook
  • Previous experience working with the TWC AP Invoice Numbering Convention preferred
  • Proven ability to meet quality and quantity goals preferred
  • Strong attention to detail required
  • Flexibility and ability to adapt to changes and day to day demands
  • Ability to communicate effectively both verbally and in writing
  • Ability to prioritize multiple tasks with attention to detail and deadline oriented
  • Must be a self-starter that takes ownership for his/her work
  • Excellent interpersonal skills and a team player approach
167

Treasury Cash Forecast Manager Resume Examples & Samples

  • Responsible for maintaining/accuracy of domestic and international forecast and actual data in treasury management system
  • Assess existing systems and processes in order to initiate/implement process improvements and drive efficiencies; continually ensuring SOPs reflect current process
  • Prepare cash financial and regulatory reporting schedules
  • Point person for international business centers for forecasting function
  • Analyze funding requirements and calculate payments for execution to ensue bank accounts are adequately funded
  • Daily/Monthly reconciliation of internal systems, general ledger and bank account activity; research, resolve, and execute any transactions to remediate any issues
  • Provide required documentation and share expertise with internal/external auditors
  • Back-up for Cash Forecasting & Positioning Leader
  • Bachelors Degree in Finance, Accounting or related business field or in lieu of degree, 10 years relevant experience
  • 4+ years business experience preferably in Treasury or Banking
  • 2+ years FP & A or other forecasting experience
  • Experience operating in a regulated-compliance environment
  • Previous experience in Reval Treasury Management System
  • Certified Treasury Professional (CTP) Designation
  • Oracle General Ledger, Hyperion expertise
  • Ability to work effectively with people in multiple locations
  • Team player in fast-paced, high-energy environment
  • Demonstrates strong analytical and problem solving skills
  • Takes initiative/ownership, generates ideas and drives solutions
  • Ability to work under pressure with daily time constraints
168

Product Manager AVP Clearing & Cash Resume Examples & Samples

  • Defining solutions for new Cash Management Corporates and(Institutional Cash products, services, features and enhancements based on market problems in close coordination with stakeholders and requestors
  • Leading roles in Payments and Clearing projects
  • SME for the US Payments Market (HVP, LVP, FI Clearing)
  • Develop an understanding of the users of your products and define user personas for given Component Products
  • Understand Market Problems - record, validate & track Market Problems: identify and document existing, changing or new Market Problems for given Product
  • Providing expert business knowledge
  • Develop innovative Product Strategies, Business Plan, Product Roadmaps and provide requirements for Market Problems that are validated as urgent, pervasive and can be monetized
  • Ensure alignment of strategies with all relevant partners and their investment priorities and plans
  • Drive the role with Discipline, Client Centricity and through Partnership
  • Proactively drive and continuously update the Product Review documentation for given Component Products
  • Maintain and instill strong focus on risk management
  • Ensure that Operational Risks associated with the functionality and processes are identified, analyzed, resolved or mitigated and controlled
169

Cib-local Corporate Cash Sales Resume Examples & Samples

  • Ensure core disciplines around pipeline management, including proactive management of conversion cycles and revenue ramp up, conducting weekly sales meetings, local deal reviews, pipeline analysis and reporting
  • Conduct regular cross functional reviews with peers in Client Service and Operations (locally and regionally) to ensure coordinated management of client relationships
  • Promote the Treasury Services business in the broader marketplace including press interviews and managing client events such as coordination of regular Economic Forums across Asia Pacific
  • Ensure strong Sales Risk Management compliance (KYC, Reputational Risk) and adherence to client relevant Audit, Credit, Compliance and Risk policies
  • Participate in regular TS Management Meetings and Talent Reviews
170

Supervisor, UK Cash Reconciliations Resume Examples & Samples

  • Minimum 3 years financial market experience (within a Funds Management / Custodian environment) preferred
  • Demonstrated coaching and leadership ability
  • Understanding of the workflows and requirements within Custody and Investment Administration environments
  • Ensuring that all key Client Service Level Agreements are met
  • Ability to work under pressure and to prioritize actions
171

IT Audit Manager Equities Cash & Electronic Trading Resume Examples & Samples

  • Supervise and manage a portfolio of audits demonstrating an ability to effectively prioritise competing commitments in order to ensure efficient delivery against agreed timeframes
  • Demonstrate proficiency in understanding the Bank’s business units while managing audit work and through identification of key technology risk issues
  • Deliver findings, issues and recommendations which are commercially sound and strategic messages/themes to relevant stakeholders proactively and with impact
  • Take appropriate audit risks by driving a more risk-based approach on audits and/or budget utilization while maintaining current levels of audit efficiency
  • Participate in the continuous auditing processes to identify changing or emerging risks in the areas of responsibility and keep up to date on all key business developments (internal and external)
  • Participate in annual macro and micro risk assessments and planning for the department
  • Provide coaching and feedback to audit staff members as audit fieldwork progresses
  • Manage and/or provide technology SME input into audits
  • Manage the key technology stakeholder relationships (N-4/5) for APAC Equities Cash & Electronic Trading
172

Cash Solutions Director Resume Examples & Samples

  • Manages the PCG Cash Solutions products
  • Collaborate with vendors, product managers and stakeholders to support initiatives
  • Create management presentations and prepare governance reporting and routine status reporting and KPIs
  • Ensure the accuracy of the Potential FDIC Exposure Report and collaborates with the FDIC for proposed solutions
  • Provides leadership, oversight and administration of Cash Sweeps
  • FDIC and application to client inquiries
  • Coordinating across all business units to understand business needs and drive education on PCG Cash products
  • Establish and maintain effective working relationships at all levels of the organization
  • Prioritize, determine tasks and resources, schedule, and leverage resources in order to stay focused and meet or exceed deadlines
  • Bachelor’s Degree (B.A.) in Finance, Accounting, or related field and a minimum of ten (10) years of financial services experience, including a minimum of five (5) cash management/treasury management/business development experience within Wealth Management
173

Cash Settlements Associate Resume Examples & Samples

  • Bachelors Degree in relevant discipline
  • Has a proven track record in a fast pace environment, lending control and order to a difficult and time sensitive situations
  • Experience in Fixed Income Derivatives, Foreign Exchange, settlements, cash management, funding, stock loan
  • Treasury risk management and regulatory is desired
174

Global Cash & Liquidity Manager Resume Examples & Samples

  • Degree Qualified in Finance or Equivalent
  • ACA/ACCA/CIMA qualified, 5+ years PQE with significant treasury experience
  • As Global Cash & Liquidity Manager you will be required to travel globally as required
  • Superior relationship building skills - banks, internal / external stakeholders and service providers
  • Proven experience in implementing and managing complex liquidity structures in all regions
  • Experience in defining and implementing best in class payment and receivable infrastructures in a high volume, shared service centre environment
175

Cash & Trade Senior Analyst Resume Examples & Samples

  • Experience of operating with Exchange Traded Derivatives clearing
  • Confidently process all trade date and T+1activity over the 37 market supported by the EMEA Trade Management Team via ClearVision
  • Thorough understanding of account structures in detail ensuring trades are cleared to the correct entities
  • Enhance STP and be pro-active to improve the clearing flow for all stakeholders
  • Full awareness of the market risks and proactive management, especially during expiries
  • Market Research
  • Full understanding and capabilities of Citi web portal
  • Support queries from other areas: control, finance, risk, credit
176

Credit, Cash & Collection Analyst Resume Examples & Samples

  • Research new credit applications for approval
  • Financial risk analysis to update credit limits within level of authority and/or make recommendations to management
  • Assist with credit application process and tracking of customers that are out-of-compliance with credit policy; communicate with management and sales team regarding credit application and out-of-compliance customers
  • Create aging analysis for credit meetings and take notes during the meetings
  • Handle referral of outstanding receivables to assigned collection agencies
  • Complete the monthly allowance analysis and other reporting requirements
  • Perform balance sheet account reconciliations
  • Process journal entries
  • Responsible for management of Executive Perq Accounts
  • Produce promissory notes for accounts that have payment plans
  • Focus on maintaining or improving the amount of unapplied payments
  • Active participation with driving results to meet individual, team and department objectives
  • Ongoing process improvement focus, making recommendations and participating and or leading implementations to improve department efficiency
  • Establish and maintain strong working relationships with customers and other functional groups at all levels
  • Keep management apprised of unusual or non-standard issues and escalate when appropriate
  • Identify and resolve order-to-cash root cause issues that impede invoicing, collections and deduction resolution. Includes initiating and driving cross functional resolutions
  • Initiate and maintain complete, accurate and updated records of contacts, collection activities and account reconciliations
  • Other tasks/projects as needed
177

Citibank Berhad Kl-cash Sales Resume Examples & Samples

  • NBFI/Cash Management Sales experience will be beneficial
  • Experience in a financial services firm preferred
  • Experienced strategic leader able to design innovative client sales growth plans and execute
  • Recognized for her / his execution skills
  • Experience working with NBFI sector will be an added benefit
178

Cash Settlements Analyst Resume Examples & Samples

  • Need to gain end to end knowledge of the process and business
  • Medical, Life and Personal Accident Insurance benefit for employees. Medical insurance also cover employees dependents (spouses, children and dependent parents)
  • Personal loan assistance
179

Cash & Intra Resume Examples & Samples

  • Day to day responsibility for the Cash Management & Payment Control processes, supporting the core transaction flows for the EMEA GMBS business � the key roles will focus on the following
  • Understanding of liquidity management and mechanics preferred both from a Treasury funding and financial resource utilisation perspective and its impact on day to day operations of the firm
  • Highly numerate and analytical � must be able to decipher large volumes of information to produce clear, detailed conclusions and analytics
  • Strong communication skills. Demonstrate the ability to manage and build internal / external client relationships and manage stakeholders at all levels
  • Strong time management and ability to work to tight deadlines under pressure
  • Strong control mindset and understanding of Operational risks. Proven ability to build and maintain a robust control infrastructure and understand control requirements throughout the trade lifecycle
  • Awareness of the external industry and the drivers behind the longer term objectives of the function as a whole. Evidencing the ability to translate these objectives into organisational strategic deliverables
  • Strong understanding of current and future regulatory change and their wider impact on the Liquidity and Cash Management function and wider industry
  • Fully proficient in Excel � to advanced level
  • May involve UK Bank Holiday work
180

Associate, Cash Resume Examples & Samples

  • Greet customers and provide a consistently excellent service experience
  • Ensure that cash area meets all Store Readiness requirements including overall maintenance and housekeeping
  • Receive payment by cash, credit card, debit, gift card or other approved methods and reconcile with total sale; issue receipts, refunds, credits, or change due to customers
  • Inform customers about current promotions
  • Up-sell items at cash area
  • Wrap or bag products
  • Answer customers' questions, and provide information on procedures or policies
  • Resolve customer complaints
  • Answer phone, check store voicemail and return calls
  • Manage and clear out hold closet
  • Alert management of suspicious activity
  • High degree of accuracy and attention to detail; comfortable with numbers
181

Cash BA Resume Examples & Samples

  • Project stakeholder Management
  • A computer science degree or equivalent
  • Minimum 5 years of Financial Industry experience, with 2 years of Investment Bank front office IT experience
182

Cash Accounting Specialist Resume Examples & Samples

  • Front Counter/Receptionist Duties – assist customers, circulation, and advertising staff with payments
  • Balance Indy cash/credit cards and prepare weekly cash log for NSSC
  • Prepare and make weekly bank deposit
  • Prepare legal affidavits
  • May participates in various month end closing processes
  • Provides and maintains excellent customer service to finance management, business unit personnel and external customers
183

Cash & Payment Services Resume Examples & Samples

  • Understand operational processes in order to provide solutions which improve operational efficiency
  • Good UNIX shell scripting (1 year +)
  • Good understanding of development tools: source code control software (e.g. subversion); automated build (e.g. Maven), automated testing (e.g. FitNesse), JIRA/GreenHopper task tracking
  • Knowledge of Javascript libraries, e.g. XQuery
184

P/T Accounting Specialist, Cash Receipts Resume Examples & Samples

  • Front Counter Customer Service
  • Prepare Daily Deposit
  • Prepare Dealer and Agent Deposit
  • Prepare PNC Lockbox
  • Scan Cash Deposit documents for RSSC
  • Audit Single Copy Returns
  • Petty Cash functions
  • Order supplies for Poughkeepsie
  • Develops relationships and provides support to the Regional Financial Supervisor and business unit personnel
  • Customer/client orientation
  • 2+ years of general accounting clerical work experience
  • Ability to work in a fast paced environment
  • Excellent communication and interpersonal skills to work with internal and external customers
185

Cash & Banking Accountant Resume Examples & Samples

  • 1+ year experience in bank reconciliations is required
  • Strong Microsoft Excel skills. Experience with vlookups, pivot tables, and conditional formatting needed
  • Knowledge in Oracle Financial is a plus
  • Must be a strong team player, highly motivated, and eager to learn
  • Ability to deal with diverse groups and various levels of financial and operating personnel
  • Associates degree or some college required with a Bachelors in accounting, finance or similar field preferred
186

VP Cash Securities Oversight Resume Examples & Samples

  • Build and maintain governance of India Captive Functional Oversight team
  • Overall vendor performance oversight
  • Contact point for functional managers, internal and external clients
  • Periodic reviews of KPI/KRI parameters and thresholds
  • Incident management – Transparency on controls/process failures/remediation
  • Deployments & MPP governance – Review MPP and provide receive manager sign-off
  • MBR/QBR – Pack Reviews – Quality and Accuracy assurance
  • Overall BCP management
  • Oversee and enhance supervisory controls by vendors on day to day processing
  • Approval and authorization of day to day transactions – Final gateway
  • Oversee and resolution of thematic escalations from functional managers\internal\external clients
  • Monitor KPI in line with functional requirements
  • Manage/Authorize system access controls
  • Process performance management
  • Suggest, manage strategic and tactical solutions, inclusive standardization of processes
  • Deliver “Change the Bank” and “Run the Bank” changes
  • Drive root cause analysis through the vendors
  • Efficiency management
  • Relationship management
  • Overall governance of capacity utilization and monthly review
187

Cash & Trade Prcessing Representative Resume Examples & Samples

  • Self-Confident
  • Must be able to meet data entry productivity and quality goals
  • Ability to respond under pressure and multi-task
  • Ability to work overtime and flexible work hours based upon business needs
  • Hours: Friday-Monday 7:00a-5:30p
188

Cash Flow Modeler Resume Examples & Samples

  • ABS / MBS Cash Flow Modeling development experience
  • Strong quantitative and analytical abilities
  • Familiarity with structured products market and technical expertise in using fixed income analytical systems, such as Intex (Dealmaker, Calc, Wrapper)
  • Knowledge of advanced Excel / VBA functionality
  • Knowledge of Python and C#
189

Accountant, Cash Resume Examples & Samples

  • Participates as a specialized knowledge resource in established processes
  • Tends to reference documented process and practices and learnings from previous experience to address challenges. May handle more common complex challenges but escalates situations that have not been encountered previously
  • 50%: Reconcile store depository accounts via ReconNet software tool
  • 10%: Research and resolve cash handling issues identified during reconciliation
  • 10%: Communicate cash handling issues to internal and external customers
  • 5%: Generate and post closing journal entries
  • 15%: Prepare account reconciliations
  • 5%: Assist in preparing financial or accounting analysis
  • 5%: Evaluate store complianceto current cash handling policies
  • Bachelor’s Degree in Accounting or related field or commensurate experience
  • 1-2 years experience with knowledge in accounting principles
  • Ability to use the computer in analysis and tracking in moderately complex spreadsheet situations
  • Ability to solve a variety of complex problems where only limited standardization exists
  • Ability to use independent discretion and judgment to analyze and resolve issues
  • Ability to compose moderately complex documentation of a routine nature
  • Ability to interact with all levels of Associates in the organization
  • Ability to interview for or discuss detailed information with internal customers or associates regarding business issues
  • Knowledge of bank reconciliations helpful, but not required
190

Existing Customer Strategies Specialist Cash Execution Resume Examples & Samples

  • Responsible for supporting the development, implementation and documentation of strategies to drive profitable cash volume growth from the existing customer portfolio
  • Deliver the execution of agreed strategies ensuring they meet objectives through involvement in cross functional teams
  • Monitoring strategy performance. Agree goals and proactively work with business areas to ensure that they deliver against plan, providing advice on performance issues or strategy changes to ensure performance gaps are addressed
  • Identify process improvements in the definition and delivery cash strategies
  • Analysis, interpretation and presentation of competitor cash performance
  • Socialisation of cash strategies and their implications across the business
  • Development and approval of strategy change proposals, with robust business case, through the agreed governance processes
  • Influencing stakeholders from across the business to ensure that existing customer cash strategies are identified, developed and executed
  • Reviewing and challenging cash strategy performance to identify opportunities and risks
  • Attending committees/working groups where existing customer cash strategy expertise is required
  • Coordinate the resolution issues related to the execution of the cash strategies
  • Define, execute and interpret statistically advanced tests
  • Define, agree and ensure execution of the cash promo campaign test plan ensuring adherence to process and governance requirements
  • Requirement definition and Execution Brief approval for the monthly cash promo campaign
  • Manage the Existing Customer cash SharePoint, including all associated record keeping requirements
191

Cash & Payment Services Resume Examples & Samples

  • Reviewing and elaborating stakeholder requirements into user stories
  • Designing solutions in a collaborative manner and in line with defined engineering principles
  • Participate in a support rota to provide 24/7 third level support for resolving critical application failures
  • University degree in Computer Science or equivalent degree or experience
  • Minimum 5+ years of Application Development work experience
  • Excellent Core Java knowledge and hands-on experience
  • Excellent Java Spring / HTML5 / JavaScript knowledge
  • Knowledge of MQ Series / Messaging architectures
  • Knowledge of industry message standards: FPML, SWIFT, etc
  • Knowledge of Oracle (RAC/Exadata) / Sybase database architectures
  • Knowledge of Flex
  • Knowledge of C++ for legacy applications (desirable)
  • Solid understanding of SQL
  • Solid UNIX shell scripting (1 year +) Solaris/Linux
  • Solid understanding of i3-tier architectures, SOA architectures, Software Fortresses
  • Solid understanding of development tools: source code control software (e.g. subversion); build automation (e.g. Maven), continuous integration (e.g. Hudson/Jenkins), automated testing (e.g. FitNesse), JIRA/Green Hopper task tracking
  • Minimum 5+ experience in the financial industry technology organizations
  • Knowledge of cash settlements, payments and funding processes including SWIFT messaging
  • Knowledge of Investment Banking areas such as Securities and Derivatives
  • Proactive in their approach to a role
  • Strong, assertive communication skills in English
  • Effective management of time and resources
  • Flexible team player, with ability to give and take direction in a professional manner
  • Focus on commercial return on investment in all aspects of working day
  • Demonstrate continual improvement in terms of Individual Performance
192

Credit Analyst Cash Resume Examples & Samples

  • Levering the Fixed Income Credit Research team’s research and opinions combining them with his or her own judgement and expertise and/or
  • Assuming primary responsibility for the coverage of issuers that are not covered by the Fixed Income Credit Research team
  • Real-time communication of fundamental credit views and investment recommendations
  • Acting as in-house sector expert and fundamental “thought leader”
  • Creation and maintenance of Excel-based financial analysis and projections
  • Provision of ad hoc briefing and research to money market portfolio managers
  • Presentation of sector views and opinions both internally and at client meetings
  • Participation in a variety of daily, weekly and monthly investment team meetings
  • Previous Senior Analyst/Director-level experience in a top-tier credit research environment
  • Detailed knowledge of Credit Research of European banking sector and issuers
  • Thorough understanding of ratings agency methodology
  • Strong corporate credit background (including bond technicals, documentation, CDS)
  • Up-to-date Investment Grade relative and keen commercial awareness
  • Self-driven desire for expertise, thirst for sector knowledge and keen attention to detail
  • Intellectual curiosity for new products or businesses to analyse and strong commercial acumen
  • Willingness to work in a strong team-oriented environment
  • Fluency in English required. Fluency in a second European language preferred
  • Professional qualification in accountancy, commercial banking or CFA preferred
193

Cash & Collateral Mgmt Analyst Resume Examples & Samples

  • Work closely with other internal operations and control areas
  • Monitor and reconcile client accounts and fails
  • Knowledge of Salomon platform a plus
194

Senior Business Analyst With Strong Cash & Derivatives Experience Resume Examples & Samples

  • Practical experience in SDLC project life cycles is an advantage
  • Good team player and also be able to work independently
  • Eager to learn and self-motivated
195

Cameroon Cash & Trade Operations Head Resume Examples & Samples

  • Management of cash Operations / trade operations activities with oversight on Yaoundé Branch
  • Oversight of all operations related COEs including TCS, SA TROPS, CRMS, CSC
  • Responsibility over all O&T regulatory reporting activities
  • Leadership over Cash Ops, Trade Ops and ASU staff. Build a cohesive team through leadership, training and by setting high personal standards
  • Responsibility over keeping a sound control environment for the franchise
  • Ensure quality standards are met all the time and improved for the various products handled
  • Build proper relationship with all bank aeras
  • Ensure volume and quality reports are tracked and timely and accurately submitted
  • Ensure MCA are effective and timely performed
  • Good training and coaching skills
  • Good delegation skills
  • Excellent integrity and confidentiality skills
  • Process improvement skills
196

Business Analyst With Cash & Derivatives Experience Resume Examples & Samples

  • Responsible for management of project plan, tracking issues and risks
  • Directly interface/work with Business, Compliance, Risk, Application Development, QA on regional initiatives
  • Prepare and perform presentation/project status/governance reporting to interface partners, management and business
  • Business knowledge of Equity Business from Front Office Trading to MO Trade Processing for both Cash and Derivatives
  • Ability to lead and work with teams across functional area, multiple locations and time zones
197

MYS Ctsm Pg-cash & Trade Proc Senior Grp Mgr Resume Examples & Samples

  • Strong performance record, indicating a self starter who solves issues as they arise
  • Good interpersonal communication skills. Able to communicate with Internal and External Business Partners
  • Strong execution skills in a multi tasking mode. Highly detailed planning, organization and process management experience and solid execution capability. Multi-tasking is a must requirement. Strong proven problem solving skills
  • Ability to coach and develop people. Identifying and retaining talent. Demonstrated people leadership/management skills and the ability to influence and empower people
  • Able to strive under pressure and convert opportunity from risk
  • Should be open to working staggered hour/shift/ over weekend and on public holidays. Flexible/sense of urgency
  • Must be able to adapt to change in a fast paced environment
198

Analyst, Cash Flow Forecasting Resume Examples & Samples

  • 1-2 years of overall work experience with demonstrated experience in business analytics and/or data science
  • Strong quantitative background with experience in data collection, statistical analyses, and forecasting methodologies
  • General understanding of core finance and accounting concepts
  • Strong interpersonal skills needed to work effectively with people at all levels of the organization
  • Understanding of statistical programs (i.e., SAS, R, SPSS) and the ability to generate and assess various statistical models
  • Previous experience working in a media or entertainment space
  • 4-Year degree in a quantitative field (i.e., Economics, Finance, Statistics) from a top-tier school
199

Cash & Collateral Mgmt Analyst Resume Examples & Samples

  • Manage trade cycle including settlements and various life cycle transactions
  • Manage collateral process including tracking of existing collateral held and instruction of new collateral pledged or received
  • Reconcile and transact daily margin movements with various counterparties and custodian banks
  • Management of outstanding trade and reconciliation breaks
  • Assist in new account on-boarding with both internal and external business partners and clients
  • Provide reporting of collateral and exposures
  • Monitor and implement changes in regulatory and market practices
  • Perform reporting and risk mitigation processes to meet regulatory requirements
  • Ensure suitable procedures and controls for all processes
  • Communicate with various parties such as counterparties and custodians to follow-up on collateral related matters
  • Conduct analysis that will help identify opportunities to more efficiently and effectively manage margin processes. Perform reporting and risk mitigation processes to meet regulatory requirements
  • Take a lead role in analyzing and implementing data requirements needed to support new processes
  • Function as subject matter experts SME on collateral management tool building project teams
  • Experience in collateral management, capital markets and metrics reporting a plus
  • Advanced computer skills, expert knowledge of Microsoft Excel preferred
  • Manage high volumes and sensitive clients efficiently
  • Superior problem solver with the ability to multi-task
  • Must have excellent interpersonal skills, including strong verbal and written communications skill and the ability to effectively convey information and message
  • Customer oriented (internal and external) with a commitment to quality
  • Ability to work and achieve results with stakeholders
  • Flexible with a sense of urgency
  • Quick learner needed in a fast paced environment, able to manage responsibilities efficiently in time pressures situations
200

Cash & Trade Proc Senior Analyst Resume Examples & Samples

  • 5+ years Operations experience within Listed Derivatives including experience managing staff
  • Strong listening and verbal/written communication skills
  • Results/task oriented with excellent attending to detail
  • Ability to manage and effectively prioritize and resolve conflicting priorities
  • Degree in Business, Operations Management, Finance, Accounting or related discipline
201

Cash & Trade Proc Manager Resume Examples & Samples

  • Primary responsibility for this position is to manage the daily production activities of the team including appropriate resource allocation, setting and reviewing performance goals, monitoring functional and shift-level metrics, ensuring all client SLA’s are met
  • Create and monitor appropriate metrics for the functional area, shift, and site. Ensure overall operating efficiency by maintaining standards for conduct, quality, performance and productivity and addressing corrective action when necessary
  • Regularly monitor quality reports and eliminate client-impacting defects through coaching and process redesign
  • Network/navigate within the organization in order to troubleshoot escalated issues and resolve
  • Identify opportunities to implement process improvements and expense-reduction enhancements
  • Participate on client calls as needed
  • 2 years supervisory experience preferred, in lockbox operations environment would be a plus
  • Intermediate Microsoft Office skills required
  • Ability to provide leadership in a fast-paced, changing environment
  • Ability to quickly grasp operational processes and understand training
  • Must pass an extensive background check (renewed every 5 years)
  • Shift Hours: Third Shift: 11:30pm – 8:00am; Monday – Friday
202

Cash & Trade Process Analyst Resume Examples & Samples

  • Preferably working knowledge of trade or banking operations and processes
  • Degree holder. Post graduate degree would be an added advantage
  • Good interpersonal skills. Able to communicate with Internal and External Business Partners
  • Exposure to technology and handling of system, testing and rollouts
  • Ability to achieve business objectives without compromising on controls and risk parameters established
203

Cash Coordinator Resume Examples & Samples

  • Audit payment allocation history
  • Lead research in unidentifiable payments received
  • Make outgoing collection calls on outstanding Accounts Receivable amounts
  • Develop process improvements relating to Account Receivables
  • Promote efficiencies that target business goals
  • Maintain payment ledger
  • Perform daily and month end reconciliations
  • Complete general ledger transactions in local systems as instructed by Corporate Accounting
  • Ensure appropriate handling of client payments
  • Monitor and maintain online payment transactions
  • Backup for other financial positions
  • Communicate billing/Cash processes in monthly trainings both verbally and in writing to internal and external customers
  • Assist with system maintenance and database purging
  • Undergraduate degree or equivalent; Strong excel skills a must
  • Basic knowledge of payables and receivables. Skills equivalent to 3-5 years in a comparable position
  • Cash handling experience strongly preferred
  • Customer Service experience strongly preferred
204

Cash Product Manager Resume Examples & Samples

  • Responsible for cash management payables products, Online Banking, host-to-host payment solutions (CitiConnect for Files, CitiConnect for SWIFT), WorldLink Payment Services, SpeedCollect Receivables Matching, and CitiFP
  • Structuring of products against opportunities
  • Innovate new products to gain market share
  • Preparation of product programs and marketing materials for products
  • Prepare a full set of training material and organize and give training across the bank staff as and when required
  • Coordination with Regional Cash Management for new products, customization, and enhancement
  • Establishing parameters for product delivery principles and pricing
  • Understanding product earning dynamics and tracking of product revenues proactively
  • Capacity tracking and enhancement
  • Feedback on competitor capability / market practices and customer needs on an ongoing basis
  • Coordinate with Technology to implement new solutions
  • Realize customer visits within product management scope to understand customer, industry and market dynamics
  • Oversee implementation of Cash Management deals
  • Coordinate and conduct industry studies and structure products for these specific industries or sub-segments
  • Understand Turkish laws and legislation for designing regulatory compliant products, consult with legal and tax counsels and obtain necessary approvals from Turkish legal and regulatory bodies where necessary for successful product implementation
  • Participate in the relevant task forces within the bank
  • Back up team members whenever requested
  • Understanding customer technical capabilities
  • Identification of customer needs and meet them via necessary product development
  • Manage the marketing of her products, in joint effort with Product Sales Team
  • Presentations and trainings for internal customers
  • Ongoing training to all relevant parties within the bank
  • Create effective back ups for all responsibilities
  • Interface with Relationship Managers to train them on Cash Management
  • Ensure teamwork within Cash Management and between Cash Management and other Departments in the bank
  • At least 5 years’ experience in banking sector especially in Cash or Electronic Banking related department
  • Strong Cash and Electronic Banking Products knowledge
  • Good understanding of technical requirements of Corporate ERP solutions and integartions
  • Microsoft Office tools / Spreadsheet & analytical skills. Turkish and English are must, as documentation and client meetings will be in both languages
  • Strategic approach with ability to identify and execute both short term as well as med/long term opportunities and resource investment requirements
  • Ability to manage in a controlled environment and rapidly build awareness of adherence/awareness of policy requirements
  • Ability to identify appropriate opportunities and gain necessary support to overcome obstacles and manage within a complex multinational environment
  • Strong Analytical and Project Management skills
  • Delivering high quality work, while pursuing multiple tasks at the same time
  • Ability to present information in a clear, creative and persuasive manner
  • Creativity / innovation & thinking beyond the box
  • Unquestionable ethics, personal integrity, an understanding of implications of decisions
  • Ability to meet tight dead-lines and to perform under pressure situations
  • Perfect verbal/written Turkish and English at all organizational levels Professional Stance: Portraying a positive attitude in the work environment
  • Commitment to excellence
  • Demonstrates an appreciation of a diverse workforce. Appreciates differences in style or perspective and uses differences to add value
205

India Cash Ops-chennai Branch Resume Examples & Samples

  • 3+ years of experience in Cash Management Operations in Bank
  • Additional knowledge of the regulations around the capital account remittances both Inward and Outward (ODI, FDI, etc.) will be preferred
  • Knowledge of Cash Credit, Overdraft against property, Working capital Demand Loan, Term Loan, Pre-shipment Credit (Packing Credit), Post shipment finance, Buyers credit and Non fund based facilities like Letter of Credit and Bank Guarantee
  • Collection of Foreign Currency Cheques
206

India Cash Ops-bangalore Branch Resume Examples & Samples

  • Graduate with good scores
  • Handling of Non-fund based advances and bill discounting
  • Operations for products like Interest Rate Swaps, Commercial Papers, , Inter Corporate Deposits, Working Capital Loan, asset Leased Finance, Loans against securities, Corporate Loans, Promoter Funding / Share Backed Lending , Operating Lease Funds Management
207

Citi Commercial Bank-cash Sales Resume Examples & Samples

  • Degree holder with at least 5 years of solid related experience in the banking industry
  • Strong financial and analytic skills, and the resilience to quickly adapt priorities based on the latest data insights
  • A high level of expertise on credit products and process as well as a track record of providing sound credit judgment and compelling proposals to secure buy-in
  • Good understanding of trade finance, cash management and treasury products
  • Sound knowledge of the local market with a strong network
  • The ability to communicate effectively with clients and internal teams to build an effective and resilient sales culture that grows new relationships while deepening existing ones
  • Sales savvy and has the ambition to drive and grow the business
  • Ability to embrace new technology and understand the role digital plays in the experience we deliver for our clients
  • Fluent in English and Cantonese
  • Mandarin is a definite advantage
208

CIB Ops-fixed Income Cash Middle Office Resume Examples & Samples

  • Supporting Position Management, Fail Management, Pool Allocations, Pool Netting, and Pair Off Executions
  • Handling Trade Assignments
  • Managing Premium Claims and Buy-Ins
  • Responding to inquiries regarding Pool and TBA positions with internal and external client, broker/dealer community, and FICC
  • Providing ad hoc requests and reporting
  • A minimum of 3 years of MBS Pool Allocations a must
  • Bachelors' degree strongly recommended
  • Strong PC skills- including Power Point, Excel and Word
  • String organizational skills
  • Ability to work in a stressful and quick paced environment
  • FICC knowledge and experience
  • Ability to identify valuable collateral and make timely decisions
  • Knowledge of Electronic Pool Notification (EPN) system
  • Extensive interaction with the trading desk (positions, strategy, general inquiries, etc.)
  • Ability to relay information clearly and concisely
  • Interact with trading, sales, and clearance to facilitate the timely settlement
209

Avp-cash & Trade Proc Manager Resume Examples & Samples

  • Serve as the primary first point of escalation for staff members and internal and external clients
  • Responsible for managing a team of 15+ staff members that fluctuates based on seasonal volumes and temporary staff hiring
  • Create and monitor appropriate metrics for the functional area, shift, and site. Ensure overall operating efficiency by maintaining standards for conduct, quality, performance and productivity and addressing corrective action when
210

Equity Cash NA Algos Developer Resume Examples & Samples

  • 3+ years experience working on core Java (J2SE) / C# applications
  • Proficient in development on Linux platforms
  • Sound understanding of fundamental computer science concepts
  • Experience with multithreaded and socket programming
  • Bachelors Degree in Computer Science, Electrical Engineering, Mathematics, Physics or related technical fields
  • Good mathematical ability
  • Ability to quickly translate requirements into sound technical designs
  • Self-motivated, enjoy working as part of a team
211

Senior Analyst, Cash Strategies Resume Examples & Samples

  • Understand business partner objectives and conduct credit card account and customer level performance measurement and analysis, financial analysis and decision support
  • Act as the TD Cards / MBNA portfolio cash strategies subject matter expert representing Decision Sciences in cross-functional team initiatives
  • Provide value added insights to the business by performing analysis based on historical assessments of customer level profitability and predictive financial modeling
  • Actively seek to identify new cash management opportunities and improvements for assigned lines of business
  • Develop and maintain strong business relationships with assigned lines of business and other business partners
  • Manage intake prioritization for cash management-related requests from business partners
  • Act as mentor to other team analysts providing analytical, technical and business support
  • Respond to ad-hoc management inquiries through analytics and provide value added contributions to key business partners
  • Post-secondary education in a data sciences/mathematics/business-related discipline, or equivalent experience
  • Strong understanding of data manipulation techniques, with preference to SAS, SQL and Excel
  • Ability to tell the story to senior management by simplifying complex analysis into easily understood presentations
  • Self-motivated, well-organized and able to work both independently and in a team environment
  • Demonstrated relationship management skills and experience in working with cross-functional teams
  • Experience in credit card analytics and/or systems is considered an asset
212

Cash & Trade Analyst Resume Examples & Samples

  • Issuance of Import Letter of Credit / Advising of Export Letter of Credit/ Issuance of Guarantees,
  • Issuance of amendment to Import Letter of Credit / Advising of amendment to Export Letter of Credit/ Issuance of amendment to Guarantees,
  • Documents checking, bills and commissions payment, documents discounting,
  • Documentary Collections processing,
  • Bills Negotiated,
  • Clean Collections,
  • Observe expiry, execution status of all the above
  • Obtain applicable exchange rates for each FCY conversion form Treasury
  • Observe the Compliance, Money Laundering, Know your Sanctions, Exchange
  • Control and other Regulations as down in the Branch Operations Procedures
  • And Policies, as applicable, to the specific transactions being processed
  • Perform sanctions screening process,
  • Trace outstanding Payments/Acceptances, keep customer and Correspondent Banks informed of present status of Collections etc
  • Scan all source documents and attachments at the end of each day, before filing
  • Observe Clean Desk Policy
  • Daily Filing
  • Update Statistics forms as required
  • Backup for Trade Specialist and Unit Head
  • Other duties as assigned by SCOO and Unit Head from time to time
  • Complete Departmental Function Checklists (DCFCs) on daily basis
  • Additional projects and responsibilities as assigned by Supervisor
  • Use all trade related applications and share points
213

Cib-ts Cash Product Resume Examples & Samples

  • Actively participate in the development and execution of strategic investment (SPR) initiatives including development of strategic plans, contribution of details into projects, business case development, oversight and subject matter expertise (SME)
  • Actively participate in on-going communications to business partners of your responsible product initiatives including conducting of regular trainings
  • Continuous on-going ownership / analysis of financials relating to your assigned products
  • Actively participate in the development and maintenance of activity based cost metrics, Profitability Analysis, Control Self-Assessment and other similar projects
  • Identify and develop cross functional strategic initiatives wherever appropriate to build the China capability network
  • Contribute efforts to build a reliable, error free and automated process that support the products
  • 3-4 years of transactional banking experience with client access channel implementation or product preferred
  • Team player; work with limited supervision required
  • Fluent in Mandarin and English, in both oral and written
  • Proficient MS Excel, Access, PowerPoint and Word skills
214

VP-cash & Trade Proc Senior Mgr-processing Resume Examples & Samples

  • Establish operational models and effective controls that deliver efficient, high quality processing solutions within the allocated financial plan
  • Monitor Team and individual performance through effective measurement, delivery of feedback and application of corporate reward processes
  • Address service issues identified or escalated by Clients and business partners
  • Continuously seek to identify opportunities to improve product quality, effectiveness and profitability
  • 5 years of management experience in a Product or Operational environment, with preference for experience in Payment Processing or Cash Management
  • Excellent interpersonal skills; ability to influence and succeed in team environment
  • Strong ability to develop strategies, set direction and deliver results
  • Demonstrated experience in people management to effectively set and manage performance objectives, goals, capacity, and quality
  • Experience with identification and remediation of control deficiencies
  • Demonstrates a solutions driven approach to problem solving
  • Customer orientation (internal and external) with a commitment to quality
215

Cib-cash Mgmt & Cdi-team Leader Resume Examples & Samples

  • Supervision of team activities and monitoring aged / high risk items on work-queues
  • Ensuring timely follow ups and resolutions on the outstanding breaks
  • Following SOPs and updating them on a regular basis
  • Ensuring that all mails / queries assigned are replied correctly and quickly
  • Participating in productivity initiatives to improve process efficiencies
  • Where appropriate, takes action on own, without waiting for direction from others. Persists and continues to strive for a goal despite obstacles and setbacks
  • Effectively manage a team & actively participates in firm-wide initiatives (recruiting, mentoring, training)
  • Familiar with and adheres to the Firm's Code of Conduct, regulatory requirements and all policies applicable to role, business, LOB, and location
  • Actively participate in the implementation of strategic initiatives identify process improvements and efficiency opportunities in the daily workflow
  • Basic understanding of individual functions comprising the business, their interdependencies and business as a whole
  • Knowledge of the technical infrastructure that supports the business & effectively utilizes infrastructure for daily tasks
  • Capitalizes on opportunities to develop relationships with others outside their business/function
  • Able to critically challenge with the goal of identifying control issues and process improvement opportunities
  • Experience/working knowledge of Derivative products
  • Strong Numerical ability
  • Eye for details
  • High sense of Ownership and responsibility
  • Writing basic macros would be an advantage
216

Cash Mgmt Com Card Clnt Svc Resume Examples & Samples

  • Educate clients on ability to complete inquiries and maintenance requests through online channels, promoting self-service capabilities
  • Commercial card industry experience
  • Proficiency with MS-Office products (Word and Excel primarily)
  • Strong communication skills both written and verbal
217

Equities Cash Sales Trading Resume Examples & Samples

  • At least 10 years of equity cash sales trading experience
  • Interpersonal, communication, and presentation skills
  • Research/data-gathering skills
218

Cash Products Resume Examples & Samples

  • A good FX, OTC settlements background within the broker/dealer environment and the risks and controls surrounding this function
  • Candidates with investment banking or private banking experience not related to the afore mentioned asset classes will also be considered
  • Should be flexible to travel between offices within or outside the city
219

VP-cash Trading Quants Resume Examples & Samples

  • Assume full responsibility for our Mumbai based Equities group staff
  • Responsibilities include hiring, training, performance management and tasks related to managing a team of young, talented and ambitious professionals
  • Monitor the performance and “quality” aspects of each team member
  • Given the numerical and statistical nature of the work, the ability to ensure the correctness of all quantitative work is essential
  • Face off to onshore desks to ensure the appropriate scheduling and prioritization of work amongst team members
  • Report progress back to all stakeholders
  • Escalate and communicate difficulties and road blocks
  • Interact on a continuous basis with on-shore stakeholders to seek feedback on team members
  • Help mentor, coach and support staff, particularly junior/new joiners
  • Coordinate mid- and end-year performance management and career development processes
  • Bachelor’s degree in Computer Science/Electrical
  • Engineering/Mathematics/Statistics from a premier academic institution
  • 8-10 years of relevant work-experience of which at least 2-3 years managing staff
  • Strong leadership skills, preferably within a financial services organization
  • Strong projects management skills with demonstrated experience of managing highly complex, cross functional projects with multiple stakeholders
  • Strong computer sciences skills
  • Excellent client relationship skills and proven ability to form strong business relationships with senior management colleagues; experience dealing extensively with overseas counterparts
  • Programming experience in either C#, Java , C++ , Python, R, Matlab required
  • Knowledge of KDB+/Q preferred
  • Strong mathematical background, with experience in fields such as statistics, signal processing, econometrics and time series analysis
  • Familiarity with machine learning techniques a plus
  • Good communication skills and should be comfortable interacting with internal and external stakeholders
  • Ability to work under pressure, with minimal supervision, and in a team environment
  • The ideal candidate will be highly detail-oriented and will possess strong organizational skills
  • The candidate should be a pragmatic "self starter" - someone who can work both independently as well as a part of a Global team
220

A/R Rep/cash Reconciler Resume Examples & Samples

  • Works independently on a daily basis and with A/R Management on special projects. Reports to A/R Supervisor
  • High school education preferred or equivalent
  • Computer skills including Word, Excel & Access
221

Head of Equites Cash Market Making Technology Resume Examples & Samples

  • 15+ years of specific experience in the equity cash and derivatives trading technology/risk management/operations arena
  • Drive Execution in a Complex Organization: Anticipates and probes issues and contingencies with the early involvement of others, creating a culture that translates strategies into specific goals, tactics, action plans and deliverables. Drives accountability and makes timely decisions and tough calls on enterprise issues and opportunities
  • Strong analytical and problem solving skills. (market analysis, requirements definition, competitive analysis , etc.)
  • Communication: Ability to communicate complex concepts confidently and concisely using specialist business acumen. Communicates frequently and concisely with peers, managers, clients, and industry participants. Applies articulate verbal and written communication ability to translate the vision/strategy into clear priorities and direction
  • Creativity and innovation: Continuously maintain an innovative mindset whist operating with a set of defined internal and external communication processes
222

VP of Cash Planning & Forecasting Resume Examples & Samples

  • 9+ years of Global Cash Forecasting and Liquidity Management experience; 9+ years of Cash Management experience; 9+ years of Accounting, Treasury or Finance experience
  • Bachelor's Degree in Accounting, Business Administration, Finance and/or a related field
  • Strong understanding of Cash Flow concepts/principles and Cash Improvement best practice
223

Cash Mgmt Product Spclt Resume Examples & Samples

  • Market analysis includes understanding competitive offerings and developments related to products, competitors' developments, industry trend tracking, market surveys, competitive intelligence gathering, collating client feedback and segmentation analysis
  • Product Development encompasses payments, receivables, information reporting, international and small business capabilities, as well as on line banking channels and includes roadmap development and maintenance, contribution to development prioritization, creation of business cases, business requirements and functional specifications, overseeing project management, ensuring operational readiness, preparing for and ensuring NAC approval
  • Product Specialists includes subject matter expertise in support of sales, developing and conducting product training, developing and maintaining product documentation including legal documentation, including up to date web site content, developing and maintaining sales collateral, training, publishing publications and attending and speaking at conferences and membership/representation in select associations and industry groups
  • Product Administration includes participation and leadership in internal partnership meetings and discussions, as it relates to product development efforts, cooperating with, responding to and remediating findings related to audits, vendor management, compliance with regulatory and compliance issues and updates, and risk management
  • 2 to 3 years of directly related experience
  • The following all relate to this role
  • Receivables Products
  • Information Reporting
224

Cash & Liquidity Management Analyst Resume Examples & Samples

  • Quickly develop a wide understanding of the Firm's structure and systems and how data flows to Cash & Liquidity Management in order to build projections, manage positions and manage intra-day liquidity
  • Have a strong control focus to understand and apply the Firm's policies relevant to the area, understanding evolving regulatory requirements and meet these
  • Have an analytical mind-set and a proven ability to solve problems
  • Multi-task and work independently in a deadline driven environment, adhering to pre-defined currency/market deadlines
  • Use strong communication skills to build and manage relationships with a range of internal and external stakeholders. These will include the Global Money Market desk, various teams across Operations, Global Operations Change, IT and agent banks
  • Deliver high quality and consistent service to key internal clients, contribute to and influence operations change, and improve awareness of the importance of accurate funding and liquidity impact to other areas
  • Build long term sustainable relationships with Treasury, various FO funding desks and other key stakeholders, with a drive to expand network and knowledge
225

Cash Coordinator Resume Examples & Samples

  • Posting Cheques and EFT Payments
  • Balancing and Posting of Cash Deposits
  • Issuing credit card and B2B payments
  • Responsible for submitting month end reports in an accurate and timely manner
  • Working with AR & Credit on resolving any issues
  • Attention to detail with an emphasis on accuracy
  • Understanding of accounting business model, discounts and various provincial tax rules
  • Collaborative and works well in a team atmosphere
226

Cash Applicator, Otis Resume Examples & Samples

  • Timely and accurately research and apply customer payments; including checks, ACH/EFT, direct debit and credit cards
  • Work with customers and branches to resolve outstanding credits and invoices
  • Prepare general ledger journal entries as needed
  • Research and prepare customer refund packages for processing
  • Management of Otis A/R Support E-mail Box
  • Reconcile customer payments and invoices
  • Work closely with Strategic Accounts department to assist with research/reconciliation of large customer payments
227

Interest Rates Cash Desk Strategist Resume Examples & Samples

  • Providing analytical models for pricing securities and risk managing the Firm’s positions across the range of Rates cash products
  • Developing tools for the trading desks to assist them in market making and risk management
  • Work with the trading desks to develop relative value measures and identify potential market opportunities
  • The scope of this work include
  • Experience in the valuation and market behavior of liquid interest rate products
  • Experience with term structure models of interest rates
  • Practical experience in optimization and data analysis
  • Demonstrable programming skills, preferably in C++ or Java
  • Able to think independently and creatively
  • Comfort in a high-pressure dynamic environment
  • Master’s Degree or above in engineering, statistics, mathematics, physics or related fields
  • Good written and spoken English with good interpersonal skills
  • The ability to work effectively with people
228

Central Cash Teller Resume Examples & Samples

  • Ability to learn and operate a PC, calculator, currency scanner, high speed currency counter, coin sorter and coin wrapper
  • Ability to interact effectively with CNB personnel, customers, vendors and affiliate representatives
  • Ability to type forms
  • Ability to work efficiently in a productive environment
  • Good manual dexterity
229

Equity Markets Head of Pan Asian Cash Sales Resume Examples & Samples

  • Extensive experience in sales and sales management
  • Strong product knowledge of equity product
  • Proven track record of hiring and retaining top quality talent
  • Proven track record of formulating and executing sales and client coverage strategy
  • Deep understanding of regional equity markets and securities markets in general
  • Deep understanding of what drives success with clients
  • Ability to manage conflict and confrontation
  • Ability to motivate teams and deliver success
  • Attention to detail and hold people to account
  • To be impactful in front of clients
  • Strong problem solving skills and a pragmatic approach to ensure scarce resources are appropriately allocated
230

Account Services Analyst, Cash Processing Resume Examples & Samples

  • General knowledge of cash distributions types and personal finance
  • Proficient in Excel and word processing applications
  • Organizational and time management skills
  • Knowledge of Trust systems including SEI preferred
  • General knowledge of trust administration and/or trust operations preferred
231

Cib-transaction Processing Mgr-core Cash Ops Resume Examples & Samples

  • Interact with global location managers in an effective and professional manner
  • Monitors all relevant Management Information System data ensuring all issues have been resolved expediently
  • Responsible for Performance Management process. Foster and champion High Performance Culture where people are empowered to make decisions that affect their work/environment
  • Working/Expert Knowledge of SWIFTS & international payment conventions & practices is a must
  • Strong Interpersonal skills to be able to communicate internally & externally and at all levels
  • Proven leadership and people management skills
  • Proven ability to build strong business relationships within the site and across the business
  • A proactive approach to problem solving, taking ownership of issues and having the determination to follow through. Escalate issues as appropriate
  • Ability to use creative problem solving techniques to solve business issues
  • Strong PC, project management, and analytical skills
  • Experience and a strong working knowledge of various aspects of Global Funds Transfer
232

International Cash Trade Management Resume Examples & Samples

  • All customers, both internal and external must be satisfied with their level of service
  • Each team within the middle office area must have the appropriate controls and procedures in order to ensure the products and positions are maintained in a controlled environment with minimal Operational Risk
  • A strong knowledge of Operational procedures and risk controls is a must. Also an understanding of why these procedures are required
  • A flexible approach to working hours and day to day responsibilities
  • A pro-active approach and an aptitude for new and varied systems
233

Director of Global Credit & Cash Collection Resume Examples & Samples

  • Accountable for developing and implementing global policies, systems, processes, reports ensure efficiency and internal control of debtors ledger and all related activities
  • Accountable for setting strategic targets for the Credit team, regularly reporting actuals against key performance indicators and explaining key deviations from plan as needed to Leadership
  • Responsibility for applying the company's credit and collection policies, practices, and procedures to the credit requirements of a designated number of customer accounts within specified dollar limits or normal credit lines
  • Extends and establishes credit lines for individual accounts in accordance with established company policy and terms and makes all credit arrangements necessary
  • Accountable for authorizing credits beyond subordinate's authority; major accounts requiring individual attention, marginal accounts, problem accounts, special credit arrangements, and deviations from standards
  • Accountable for all vendor related compliance
  • Accountable for all aspects of global credit and collections with potential dotted line reporting in Western Europe, Japan and Korea
  • Accountable for Leading, motivating and developing the Credit team while ensuring team adherence to all company procedures and regulations
  • Develop excellent working relationships with customers and internally with key departments, in particular Sales, Customer Service, Logistics and IT
  • Responsible for non-routine credit inquiries and correspondence, supervises collection correspondence, appraises the results of assistants, takes or recommends remedial action as required and trains new employees in credit policy and communications
  • Accountable for developing and implementing the debtor day position through improved cash collection techniques, clearly defined team objectives, effective training and guidance (i.e., by enforcing payment terms and ensuring customers pay on time)
  • Responsible for managing risk effectively, maximizing at the same time volume opportunities, utilizing credit limits, risk categories, on line risk assessment procedures and credit insurance policies
  • Responsible for managing ad hoc projects, working with other departments to improve efficiency in customer service, company profitability, etc
  • Proactively develop and implement new effective collection techniques
234

Cib-cash Market & Infrastructure Management Resume Examples & Samples

  • Negotiate contractual arrangements and fee schedules, where applicable, and manage JPM spend with FMIs and Agent Banks
  • Manage a portfolio of FMI memberships and Agent Bank relationships, managing the external interfaces with the relevant people and functions within the FMIs and Agent Banks up to senior levels both for escalation and strategic discussions, and also with the local regulators, where required
  • Support the Network Service Management (NSM) in responding to regulatory and audit requirements and client enquiries including market developments, market infrastructure reviews and market issues
  • Participate in global projects and/or information sourcing impacting FMIs and Agent Banks whether initiated by GMI or by the LOBs
  • Lead Request for Information (RFIs) and Request for Proposals (RFPs) to assess and select new Agent Banks or services provided in a specific market or region, and work with NSM to transition to new Agent Banks
  • Previous experience working with or dealing with FMIs and Agent Banks, and with Third Party Oversight (TPO) is preferred
  • Network Management or buying experience is preferable but not required
  • Strong skills in the areas of Risk Management, Compliance and Oversight and Control
  • Strong relationship management, influencing and negotiation skills
  • Self motivator with a strong ability to work across the global GMI team, across the Firm, developing partnerships with the LOBs that we support and the functional areas that we leverage
  • Attention to detail combined with an ability to absorb a large amount of information, articulate recommendations and develop a strategic approach
235

Cash & Banking Analyst Resume Examples & Samples

  • 2+ year experience in bank reconciliations is required
  • Experience with ReconNet software is a plus
  • Intermediate to advanced Microsoft Excel skills. (Vlookups/Pivot Tables)
  • College degree required with a Bachelors in accounting, finance or similar field preferred
236

VP-cash & Trade Proc Senior Mgr Resume Examples & Samples

  • Manage and develop staff at multiple levels (C01 – C12)
  • Oversight of multiple Operational Support functions including; Billing, Financials, Budgeting, MIS and Customer Service
  • Budget forecasting, planning and expense analysis
  • Data analytics and trend analysis
  • Client facing; level one escalation point for client service inquiries
  • Facilities Management for Public Sector Lockbox
  • Vendor Management; Relationship manager for outbound courier relationship
  • Provide support for our Product and Relationship partners
  • Responsible for managing a team of staff, providing leadership and subject matter expertise
  • Partner with the business managers across multiple sites to ensure we remain on plan for all budget and expense initiatives
  • Manage vendor relationships of those directly impacting the Operation
  • Strategic planning; develop and implement strategic initiatives designed to generate expense savings for the business
  • Support and Lead LEAN project initiatives across the organization, assist in the improvement of current processes
  • Oversight of Lockbox transportation network; ensuring management and oversight of courier related to daily deliveries and established delivery time SLAs
  • Facilities management for Public Sector Lockbox; coordinate issues with CRS and facilitate any building upgrades or projects
  • Serve as Project Manager on cross-site Lockbox initiatives
  • Cross-site visibility between all of the Public Sector Lockbox locations
  • Generate and present Organizational MIS, Client Scorecards, Business Highlights and Management Business Review
  • Leverages data analysis to identify opportunities to increase efficiency and positively impact client experience
  • Execute monthly expense reclassifications, accruals, reconcilements, and month-end reports for client billing
  • Perform Monthly Actual vs. Planned expense analysis for Department Management
  • Accounts payable coordinator. Ensure proper controls are maintained to guarantee accurate invoicing. Monitor Prepaid Postage Accounts, PO Boxes and Purchase Orders
  • Create weekly headcount reports for client billing
  • Manage weekly cash deposits. Ensure internal payment requests are accurately reconciled and cash is provided to armored courier
  • Perform audit functions on internal Microsoft Access databases and Operational spreadsheets; Maintain the integrity of all data reported internally and externally
  • Vendor analysis and pricing. Ensure annual maintenance contracts are updated
  • Monitor Key Performance Indicators for Compliance
  • Support the Lockbox Controls team during internal and client audit requests
  • Maintain knowledge of operational processes, providing support to the business as needed
  • Ability to interact with senior levels of the organization
  • Executive level communication and presentation skills
  • Minimum 3 - 5 years Accounting / finance experience preferred
  • Minimum 3 - 5 years operational analysis and forecasting experience required
  • Previous experience in budget forecasting, planning and expense
  • Excellent written and oral communication skills to interact with both internal and external clients at all levels
  • Demonstrated interpersonal and listening skills for problem identification and resolution
  • Detail oriented with good organization skills
  • Client Focused
  • Ability to obtain a Treasury Folder (Government Level Clearance)
  • Hours M-F 8:30am - 5:00pm
237

Cash & Collateral Mgmt Analyst Resume Examples & Samples

  • Processing collateral movements
  • Provide excellent customer service
  • Increased operating effectiveness with understanding of general ledger, stock record, and trade flow
238

Service Specialist Cash Distribution Resume Examples & Samples

  • Provide world class service to branch office associates through inbound calls and written requests
  • Work in partnership with branch associates to create solutions to best serve our clients while taking ownership of complicated situations
  • Respond to calls and service requests while meeting both quality and quantity expectations
  • Provide branch associates with information, friendly support and reliable solutions
  • Work independently and in partnership with team members to satisfy customer needs
  • Communicate operational procedures and processes to branch associates
  • Understand industry laws and regulations
239

Cash Assistant Resume Examples & Samples

  • Daily bank account reconciliation
  • Manage movement of funds between accounts
  • Maintain banking relationships
  • Assist in opening and closing bank accounts
  • Review and transmit ACH transactions for processing
240

Cash & Collateral Mgmt Analyst Resume Examples & Samples

  • Manage and execute daily margin process from calculation of to the execution of margin call, follow-up with counterparties and coordination with settlements as necessary
  • Work closely with Front & Middle Office, Product Control, Sales, Trading, Ops and Clients to resolve disputes on margin calls to understand what is causing the dispute along with taking the appropriate action to fix the dispute
  • Conduct analysis that will help identify opportunities to more efficiently and effectively manage margin processes
  • Advanced Excel and computer skills
241

Senior Financial Analyst, Invoice to Cash Resume Examples & Samples

  • Oversee BPO service provider daily processes and manage normal operational queries. Recipient of BPO output and coordinate communications in accordance with scope. Review to ensure BPO results are timely, complete and accurate. Monitor that BPO service provider is in accordance to all company compliance, controls, reporting and audit guidelines
  • Coordinate and manage all designated retained tasks including collections, dispute management and account reconciliations. Work with EFS ITC management team to propose and assess improvements to business model to improve efficiency. Work closely with BPO to evaluate the overall health of the service delivery results and provide supporting commentary and analytics to business stakeholders
  • Manage customer relations between EFS ITC, BU/Territory, and BPO teams along with sourced business partner contacts to help resolve issues and escalations
  • Lead and manage special projects as well as business reporting analysis as required
242

Beijing Cash Foreign Currency Maker Resume Examples & Samples

  • At least 3 years of working experience, with strong FCY cash operations compliance knowledge
  • Willing to work over time when needed
  • Willing to travel to customer site at least once a week
243

PC Fixed Income Derivatives Cash Resume Examples & Samples

  • Monthly and quarterly account ownership reconciliation, book management, legal entity and regulatory reporting and accounting policy implementation
  • 1 - 2 years of financial service, banking or accounting experience
  • PC skills including Excel, PeopleSoft Financials, and Essbase as well as comfort with manipulation and presentation of financial data
  • Team player, proactive, self-starter, who can be dynamic and implement process changes
244

Senior Cash Settlements Analyst Resume Examples & Samples

  • Bachelors in commerce and accounting mandatory
  • Relevant experience of 3-5 years in Banking and Financial Services Industry
  • Solid Accounting skills with exposure and know-how on reconciliations and Balance Sheet
  • Life insurance for protection of employees’ families
245

Beijing Cash RMB Maker Resume Examples & Samples

  • Above 2 years relevant working experience with corporate banking experience in RMB operations is preferred
  • Well-versed with RMB processing related policies and regulations
  • Able to multi-task and meet strict cut-off time
  • Keen learner and willing to take up new challenges
  • Have an eye for details
246

Specialist Cash Sales Resume Examples & Samples

  • Exceed a total New Business value and fee income as agreed in the PD session for the financial year by signing up the right clients
  • Exceed an average fee rate on a monthly basis as well as per annum targets by knowing market segments
  • Engage regularly with Absa Corporate and Business Bank (ABSA) Relationship Executives to identify clients interested in Cash and Cheque solutions
  • Liaise with individuals who are decision makers in their organisations (namely Financial Directors etc.) from large corporate organisations to identify non-Absa clients in need of Cash and Cheque solutions
  • Scrutinise the Absa client database to identify new business opportunities by retrieving leads from the Absa systems, and selling/marketing Cash and Cheque solutions to potential clients identified
  • Follow up on all sales leads received and outstanding documentation of new clients’ sales to ensure that all possible business opportunities presented are identified and actioned
  • Establish sources of market/business intelligence through attending industry forums and contacts within the Cash and Cheque industries and gather such information on a regular basis in order to identify new business opportunities
  • Achieve contractual new business targets by selling to new Absa customers and/or cross-selling to existing Absa customers
  • Develop business opportunities within the allocated client base by analysing the database of clients and identifying possible client needs
  • On concluding a sale, confirm the client's acceptance of the proposal and sign a Service Level Agreement (SLA)
  • Hand over the new client to the respective servicing team within Coverage to provide ongoing client servicing support and hence enhance retention of business
  • Represent and further the value proposition of Cash unit by attending various forums within CIBW in order to facilitate the building of strong relationships with stakeholders
  • Actively participate in Strategy formulation & translation for the Regional Office
  • Attend and interact with all Segment sales meetings on a monthly basis
  • Develop an in-depth understanding of the relationship of the customer by focussing on growth for all stake holders
  • Build strong relationships with internal and external stakeholders (e.g. Account Executives) to enable the identification of sales opportunities. This entails participation in meetings and other activities within the Bank and external stakeholders
  • Establish and maintain relationships with external product and service providers in the region
  • Do key account management
  • Oversee administration and implementation of Cash products related to clients
  • Liaison between all stakeholders - clients, banker, service providers
  • Assist Coverage to identify, win and retain clients by acting as a Cash SME
  • Supporting Absa, Corporate bankers and Cash Sales Specialists on RFP’s and to design a product and pricing proposal on Cash and Cheque solutions
  • Supply Sales support to the department during the sales process e.g. assists with preparation of presentations to clients and with pricing negotiations
  • Take full responsibility to ensure that all requirements with regard to compliance, regulatory or other risk standards are adhered to
  • Manage and monitor, through Sales Managers, that appropriate and client centric solutions are developed
  • Manage cost within approved budget
  • Implement own sales journey plan for the financial year, taking into account the overall sales strategy of the region
  • Communicate & follow-up with Sales Manager and Regional Office department managers on progress on area’s sales plan and sales achievement during sales meetings
  • Adhere to the sales processes and procedures within the Regional Office
  • Write business that complies with the highest standards and norms set by the industry and by Absa
  • Complete and sign new sales agreements per service/product/client prior to Implementation
  • Ensure compliance to policies, legislation and regulations and that staff compliance training and attestations are in place
  • Ensure compliance to corporate governance and legislation requirements e.g. Code of Banking Practice (COBP) and Financial Advisory and Intermediary Service Act (FAIS) requirements by completing the required training
247

Senior Financial Analyst, Cash Operation Resume Examples & Samples

  • Assist to maintain the CO department function of Shanghai Disney Resort, and provide leadership and guidance to CO Cast Members
  • Identify the daily operational supplies required to support Cash Operations and Cash logistic and partner with Sourcing & Procurement to select the vendor and source the supplies
  • Partner with various line of business and assist to implement Resort-Wide Cash Handling Operating Guides
  • Partner with Advisory & Assurance and Human Resource departments to implement internal control breach policy and cash over/short variances thresholds
  • Lead the day-to-day functions of the CO department. Supervise balancing process to ensure that all questions/issues are addressed and resolved appropriately. Provide coaching and feedback to team members as required
  • Complete daily bank correction in SAP cash module. Prepare weekly and monthly metric reporting. Analyze and explain variances. Utilize reporting to adjust available currency levels to meet Guest demand
  • Manage all installation processes including site identification, equipment orders, vendor scheduling, and IT support
  • Support Operations by providing training on equipment use and care, providing feedback on equipment performance, and sharing concerns with the vendor to facilitate appropriate resolution
  • Identify software enhancement needs and partner with vendors to create business requirements documents, test enhancements, and approve installation schedule
  • Bachelor’s degree and 4-7 years’ work experience in Finance, Accounting and related field
  • A mixed experience in Accounting Firm,Corporate and Banking working experience is preferred
  • Good knowledge of accounting principles and internal controls
  • Demonstrated leadership skills with the ability to define a clear vision, motivate others in a positive way to achieve desired results, and develop a successful team
  • Strong sense of responsibility and the ability to meet deadlines, handle multiple priorities and perform job responsibilities accurately with minimal supervision
  • Fluent in written, spoken and reading English and Mandarin
  • Strong computer skills including advanced Excel/PPT knowledge
  • Certificate of Accounting Professional。
  • CICPA with strong expertise in China Accounting Standards
  • Prior experience in the entertainment, theme park, or vacation leisure Industry
  • Good quantitative and analytical skill
  • Detail oriented with ability to see the big picture
248

Financial Analysis & Cash Accounting Specialist Resume Examples & Samples

  • Experience in processing and recording cash transfers
  • Experience in financial reporting and analysis
  • Detail oriented and demonstrated experience in preparing and reviewing financial information for key drivers and significant trend analysis
  • Experience in executing multiple priorities
  • Strong organizational skills and ability to work independently
  • Strong oral and written communication skills enabling effective communication with senior management in the finance organization
  • Strong working knowledge of Excel, Power Point, Clarity and Oracle is desirable
  • Bachelors degree required. Concentration in Accounting or Finance is preferred
  • Overtime will be required during peak periods
249

Cash Middle Office Analyst Resume Examples & Samples

  • Bachelors Degree, preferably in a Business, Finance, or Economics concentration
  • Prior Middle Office/Control function experience 3+ years in a similar role
  • Strong interpersonal skills and ability to communicate at all levels and across multiple groups is essential
  • Must be self-motivated, enthusiastic and hard-working with commitment to working until the job is done
  • Must possess a desire to improve processes and have a mindset of re-engineering
  • Ability to work in a collaborative team atmosphere
  • Must be able to function effectively in a high-volume, dynamic environment
  • Must be client focused and highly professional in representing the firm
  • Willing to work in an environment that requires variable start and end times, including Holidays Location
250

Fin-cash Accounting Resume Examples & Samples

  • Identify and record daily cash transactions as per defined guidelines
  • Daily identification of bank transactions and booking the transactions in Oracle AR or processing of journal entries to the General Ledger via WebADI system
  • Prepare daily bank account reconciliations
  • Prepare month-end reconciliation within strict deadlines
  • Liaise with internal stakeholders to identify cash and resolve variances on the reconciliation
  • Assist on special requests and provide timely responses to internal departments and external parties. Assist in implementing controls and continuous process improvements
  • Work on ad-hoc projects
  • Previous bank reconciliation/intercompany postings and foreign exchange accounting experience shall be preferred
  • Knowledge of Accounts Payable processes and banking systems
  • Experience of Oracle financial software packages would be an advantage
  • Bachelor’s degree in Business, Accounting or Finance