new corporate customers for loans, deposits, foreign exchange business, trade finance according to the
more product lines, e.g.: fixed income, equity, foreign exchange, institutional funds, etc Monitor domestic
more product lines, e.g.: fixed income, equity, foreign exchange, institutional funds, etc Monitor domestic
reconciliations, and financial reporting. Handling foreign currency transactions, ensuring accurate and timely
reconciliations, and financial reporting. Handling foreign currency transactions, ensuring accurate and timely
providing extensive customer service to local and foreign clients, managing administrative tasks, reporting
/>- Proficient in conducting user research in foreign markets
Qualifications/Experience
of monthly bank reconciliations, both local and foreign Reviewing and releasing of payments and providing
of monthly bank reconciliations, both local and foreign Reviewing and releasing of payments and providing
overhead expenses and imported shipments. Manage foreign invoices and reconcile creditor accounts. Control