Responsible for operational support and processing for various types of foreign cash wires and foreign exchanges. Meets daily cutoffs and deadlines to ensure the timely movement of foreign cash in the market. Researches cash balances and transactions to ensure internal systems are accurately reflecting foreign cash movements in the market. Reaches out to internal and external contacts on foreign cash related inquiries. Follows strict internal guidelines to mitigate processing errors as these may result in a monetary risk and/or reputation risk to the bank.
Thorough knowledge of trust and securities operational functions, systems, procedures, various products and/or services supported by the assigned area(s)
Ability to perform multiple tasks concurrently and meet established deadlines in a dynamic work environment
Strong analytical, problem-solving, decision-making, and organizational skills
Strong customer service skills, interpersonal, verbal and written communication skills
Must be able to work in a team environment
Thorough understanding of regulatory and accounting principles which directly affect Wealth Management & Securities Services business lines and clients
Proficient computer navigation skills using a variety of software packages including Microsoft Office applications