Responsibilities
- Manage and lead the static maintenance operations for corporate accounts within cash management services.
- Ensure accurate and timely updates of account information in compliance with internal policies and regulatory requirements.
- Collaborate with cross‑functional teams to streamline processes and enhance operational efficiency.
- Monitor and resolve discrepancies related to account data and ensure data integrity.
- Provide guidance and support to team members to achieve operational goals.
- Prepare and present reports on key performance metrics to stakeholders.
- Maintain strong relationships with internal and external clients to address queries and concerns effectively.
- Implement best practices and continuous improvement initiatives within the banking processes.
Qualifications
A background in banking, finance, or a related field.Experience in cash management or corporate account maintenance within the financial services industry.Good knowledge of FATCA / CRS and QI documentation.Strong analytical and problem‑solving skills with attention to detail.Proficiency in banking systems and tools used for data management.Excellent communication and leadership abilities to manage a team effectively.Knowledge of regulatory requirements related to banking operations.Must be able to work on public holidays, when required.Benefits
Opportunity to work in a large organization within the financial services industry.Permanent position with potential for career growth.Engaging and professional work environment.If you are ready to take on the challenge of the AVP / Manager - Corporate Account (Static Maintenance) Cash Management role, we encourage you to apply today!
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