1.Process daily movements of customers’ deposit accounts and the related GL accounting booking and end-day balancing. 2.Process outward and incoming funds transfer via IBRS and ACH. 3.Process foreign currency inward remittance related activities 4.Process incoming and outgoing checks for clearing or on collection basis. 5.Verification / identification of required documents for new account opening 6.Maintain account information update in due course. 7.Prepare regulatory reporting 8.Prepare weekly CTR to the Investigation Bureau, Ministry of Justice 9.Handle the certificate of Account Balance and CPA confirmation 10.Handle the issuance of Cashier’s Check/ Bank of Taiwan’s check. 11.Handle the requests received from court or relevant government organization 12.Backup to process funds transfer in CBC’s Interbank Funds Transfer system 13.Back up Head, Cash Operations Dept. and/or Remittance Supervisor / Trade / Loans Officer whenever need 14.Alternative Custodian vault for cash and accountable forms 15.To Take any special or additional responsibilities as assigned by Department Head 16.Any other duties assigned in addition to the above or on ad-hoc basis
待遇面議
(經常性薪資達 4 萬元或以上)
1.Minimum of 2 years of experience in banking operations; at least 6 months of foreign exchange or deposit operation experience is preferred. 2.Preferably holds a certificate of passing the Internal Control and Internal Audit Examination for banking business issued by the competent authority. 3.Strong proficiency in both written and spoken Chinese and English. 4.Proficient in computer applications, including Microsoft Word and Excel.
Attractive salary package for qualified applicant with a comprehensive fringe benefit . 5 working days per week.