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Cash Operations Associate (FXMM Confirmations Recs) H/F

Indosuez Wealth Management

Singapore

Hybrid

USD 40,000 - 80,000

Full time

9 days ago

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Job summary

An established industry player is seeking a Cash Operations Associate to join their dynamic Asia Operations team. This role focuses on processing and managing cash remittances, FX/MM, and derivatives, ensuring high-quality service delivery and operational risk management. The ideal candidate will thrive in a collaborative environment, driving process improvements while engaging in ongoing professional development. With opportunities for remote work and a commitment to diversity and inclusion, this position offers a unique chance to contribute to the growth of a leading banking services provider.

Benefits

Home office flexibility (up to 100 days/year)
Professional development opportunities
Ongoing training
Engaging projects

Qualifications

  • 0-2 years of experience in cash operations or related field.
  • Strong client service and stakeholder management skills.

Responsibilities

  • Process and control cash functions efficiently.
  • Reconcile FX/MM trade confirmations and manage discrepancies.

Skills

Client Service
Stakeholder Management
Technical Knowledge of Systems
Process Excellence
Change Mindset
Resilience

Education

Bachelor's Degree

Job description

Cash Operations Associate (FXMM Confirmations Recs) H/F

Azqore is a leader in outsourced banking services, part of Credit Agricole Indosuez Wealth Management, offering integrated solutions and quality services to clients.

Asia Operations provides operational capabilities to Azqore’s client banks, focusing on strategy execution, reducing operational costs, and improving operational risk. Commitment to quality and continuous process improvement is central to all activities.

One key goal is to facilitate Azqore's growth by prioritizing client needs, delivering value, and increasing satisfaction.

Within Asia Operations, the Cash team manages cash remittances, FX/MM, FX/MM derivatives, and secondary nostro account cash management.

The incumbent will be responsible for:

  • Processing and controls within the Cash function.
  • Ensuring efficient and productive service delivery to clients.
  • Collaborating with colleagues to provide technical expertise and solutions in a timely and accurate manner.

The role aims to support business growth through high-quality processing and risk management.

Daily BAU:

  • Reconciliation of FX/MM trade confirmations and derivatives.
  • Coordination with FX and Treasury desks for smooth trade settlement.
  • Follow-up on settlement fails to mitigate operational risk.
  • Understanding market relevance and process knowledge.
  • Managing discrepancies with stakeholders locally and internationally.

Others:

  • Participation in projects.
  • Driving process improvements.
  • Collaborating with international teams.
  • Opportunities for professional development, ongoing training, and engaging projects.
  • Home office (up to 100 days/year).

We promote diversity, inclusion, and gender balance, and encourage applications from people with disabilities. We value unique talents and non-standard profiles.

Qualifications include a Bachelor's degree, 0-2 years of experience, and capabilities in client service, stakeholder management, technical knowledge of systems, process excellence, change mindset, and resilience.

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