1. Cross-department communication and coordination
2. Data analysis and report generation
3. Risk and Control Management
4. Propose and support operational improvements
5. Other administrative and planning tasks
【職務內容】
1. Loan documentation review and negotiation
貸款文件審閱與協商
2. Accounting/financial statement analysis
會計/財務報表分析
3. Perform periodic monitoring and checking on cashflow movements, finance covenants, documentation covenants and conditions required per the loan contract
對現金流動、融資契約、文件契約以及貸款合約要求的條件進行定期監控和檢查
4. Handle queries/requests from finance parties and internal /external party.
處理來自融資方和內部/外部方的查詢/請求。
5. Handle ad-hoc credit-relevant events; borrower’s waiver/consent request, covenant breach,
處理臨時與信用相關的事件;借款人的豁免/同意請求、契約違約
6. Dealing with unexpected operational events and deliver effort under pressure
處理意外的營運事件並在壓力下交付成果
7. Good communication with senior BU, client senior managers and finance counterparts; professional FI counterparts, legal advisor, technical advisor and insurance advisor
與高級業務部門、客戶高級經理和財務對口部門保持良好溝通;與專業金融機構對口部門、法律顧問、技術顧問和保險顧問保持良好溝通
8. Work with BU/SU to organize solutions in reply to client’s request with creativity and can-do attitude
與業務部門/支援部門合作,以創造性和積極的態度組織解決方案以回應客戶請求
IP&A部門正在尋找一位具備熱情與實力的 Business Management Support 夥伴,與我們一同打造高效、順暢的理財交易體驗!
工作內容涵蓋瞬息萬變的市場交易需求,讓您隨時洞悉市場動態,精準的報價、快速的詢價回應,確保每筆交易都完美達成;同時也能透過日常營運 (BAU) 作業,包含作業流程優化與文件審查等,穩固業務基石,是驅動業務運轉的關鍵力量。
我們誠摯歡迎擁有分行理財服務或 Wealth Management Operation經驗的人才,加入我們的團隊!
We're seeking passionate and skilled Business Management Support Specialist for our Investment Products & Advisory Department to build an efficient, seamless wealth management transaction experience with us. Your role will involve navigating dynamic market demands, delivering precise quotes and rapid inquiry responses, to ensure flawless execution. You'll also fortify our operations through essential BAU tasks, acting as a pivotal driver of our business. We eagerly welcome individuals with experience in Branch Financial Services or Wealth Management Operations to become a key part of our team!
Job Responsibilities:
1. Ensure efficiency, timeliness, completeness, and accuracy of daily operations.
2. Control and manage time effectively and support teamwork.
3. Collaborate with Project Manager to support and enhance procedures for joint targets, such as new initiative projects and campaigns.
4. Support the Product team in monitoring risks, corporate action events, launches, and promotions, and ensure timely compliance with local and regional guidelines.
5. Maintain and provide analysis reports, regulatory reports, and customer advice.
6. Adhere to all relevant external regulatory and internal compliance requirement.
【About DBS】
星展銀行總部位於新加坡,是亞洲最大的金融集團之一。
2023 年購入台灣花旗消費金融業務後,星展即成為台灣最大外商銀行。目前已蟬聯五年「世界最佳銀行」的獎項,以及「全球最佳數碼銀行獎 」,打破傳統金融銀行的框架,持續發展數位創新,集團文化也鼓勵員工個人發展,提供豐富的資源和福利。
目前我們正在召集一群優秀的 Taiwan Tech Talents,與我們一起成為 Best Bank for a Better World!
【您可能會想知道】
• 入職即享年假最低 14 天+1 天 Birthday Holiday (未滿一年按比例計算)
• 到職即享萬元的彈性補助金,可用於家族旅遊或多項生活津貼
• 完整培訓和新人訓練
【工作內容】
1. Perform the order placement verification for daily transaction include Subscription / Redemption / Switch
執行日常交易的下單驗證,包括申購/贖回/轉換。
2. Perform reconciliation and distribution processes for Trust product corporate actions such as dividends, mergers, and liquidations
執行信託產品公司行動(例如股息、合併和清算)的核對和分配流程。
3. Perform settlement processes verification with the upstream, including onshore and offshore settlements
與上游執行結算流程驗證,包括境內和境外結算。
4. Perform Corporation event handling including merge/split/liquidation etc.
執行公司事件處理,包括合併/分拆/清算等。
5. Prepare regulatory reporting data of FSC/TA/CBC reporting.
準備金融監督管理委員會(FSC)/信託公會(TA)/中央銀行(CBC)報告的監管報告數據。
6. Verify daily accounting entries
驗證日
Role Summary:
The CDD Checker in CBG is responsible for reviewing and verifying Customer Due Diligence (CDD) cases, ensuring compliance with bank policies and regulatory requirements. This role involves using the new AOS CDD system for processing and requires attention to detail in handling various client scenarios, particularly concerning risk assessment and documentation.
Key Responsibilities:
CDD Case Review and Verification:
● Review and approve CDD cases initiated by the maker within the new AOS CDD system.
● Perform risk rating verification.
● Ensure all necessary documentation and information are complete and accurate according to the latest SOP guidelines.
System Operations:
● Utilize the new AOS CDD system for all regular and triggered CDD cases.
● Address issues where cases are locked in the system, and release them if necessary.
● Troubleshoot cases that fail to close in the system due to Finacle or V+ profile update issues, identifying and resolving discrepancies in customer information such as occupation details or email flags.
● Process case cancelations and ensure proper authorization by a case checker (the maker and checker cannot be the same person).
Risk Assessment and Compliance:
● Understand and apply concepts related to CDD risk levels, including low, medium, and high-risk classifications, and the corresponding documentation requirements.
● Re-evaluate and adjust customer risk levels if there are significant changes in customer identity, occupation, or other background information.
● Conduct sanction questionnaires and related checks.
● Verify information for specific customer types, such as those with certain occupations (e.g., retired, student, homemaker, unemployed), ensuring proper source of funds documentation.
● Perform inquiries like household event announcements.
● Ensure compliance with sanction identification and internal control guidelines.
Coordination and Communication:
● Communicate with makers and relevant teams to resolve issues, such as incorrect branch selection during case initiation or problems with data updates in Finacle or V+.
● Forward KYC printouts to the submitting branch contact and AML CDD Team.
● Collaborate with AML CDD Team for specific case reviews, especially for OBU eBCAP in AOS processes.