- To support and assist the Head, Reconciliation – Investors Services Operations by providing efficient and effective planning and management of systems and processes within the Financial Control space so as to provide a level of operational efficiency and customer intimacy required for best customer experience and minimize operational losses as well as ensure good external relationships.
- Drive continuous improvement of key processes within Finance, billing and reconciliation to improve on TAT & customer experience.
- Partner with Change & IT team to deliver on generation of Euro bond statement automation and stock automation.
- Identifies, assesses and mitigates the risks facing both systems and business processes thereby minimizing the operational risks.
Qualifications
- A first degree or equivalent in a business related degree.
- Relevant professional certifications can be an added advantage.
Experience:
- At least 2 years’ experience in Bank Reconciliation or Finance related, ideally within the corporate financial service sector.
- Or at least 2years experiences in treasury operations functions.
Additional Information
Behavioural Competencies:
- Developing Strategies.
- Generating Ideas.
- Upholding Standards.
- Making Decisions.
- Taking Action
Technical Competencies:
- Risk Management.
- Financial Industry Regulatory Framework.
- Product Knowledge.
- Product Related Systems.
- Coaching and Mentoring




