Operations Analyst, GFCM - Singapore - Pontoon Asia Pacific

    Pontoon Asia Pacific
    Pontoon Asia Pacific Singapore

    2 weeks ago

    Default job background
    Full time
    Description

    Title:
    Operations Analyst, GFCM


    Duration:6 Months.

    Location:
    Singapore


    Description:
    Your background

    • A Bachelor's degree or equivalent
    • Open to fresh graduates
    • Proactive, confident and detail focused. Ability to coordinate with Treasury and Operational teams independently.
    • Excellent communications skills.
    • Ability to work under pressure in a team environment and demonstrate experience meeting multiple daily cutoff's.
    Ability to liaise with all levels of the firm and people with different experiences and backgrounds

    • Selfmotivated and able to work unsupervised. Candidate will be able to manage own time and know when to escalate
    • Strong team player able to work well independently and collaboratively with peers and stakeholders.
    • Meticulous attention to detail.
    • Strong analytical skills
    Other Qualifications
    ∙ Strives to bring new thoughts and ideas to teams in order to drive innovation and unique solutions
    ∙ Excels in working among diverse viewpoints to determine the best path forward
    ∙ Experience in connecting with a diverse set of clients to understand future business needs – is a continuous learner
    ∙ Commitment to challenging the status quo and promoting positive change.
    ∙ Participate in and drive collaborative efforts to advance tools, technology, and ways of working to better serve an evolving client base
    ∙ Believes in value of diversity so we can reflect, connect and meet the diverse needs of our clients and employees around the world

    What you can expect
    An opportunity has opened up to support Global Market Operations within the APAC Funding & Cash Management team.

    The position will require you to work closely with treasury dealers, securities settlements and other internal departments to manage day-to-day requirements.

    These include meeting daily cash cut-offs for payments, trade settlements and balance management of accounts while collaborating with the internal teams and stakeholders.

    Funding & Cash Management is a very fast paced, dynamic business and will require someone that is able to prioritize work load, meet deadlines and respond well under pressure.


    What you will do
    ∙ Process payments and funding in an accurate and timely manner
    ∙ Provide accurate and timely calculation of the bank's daily obligations across multiple entities
    ∙ Investigate discrepancies to align funding projections figures across different business units
    ∙ Investigate and analyze discrepancies between cash and ledger.
    ∙ Support treasury on desk and stakeholders on various queries and projects relating to funding and payments
    ∙ Any other ad hoc duties/projects as required and assigned.