- Manage cash management services for corporate clients, ensuring timely and accurate processing of transactions.
- Coordinate with internal teams to resolve issues related to treasury operations, including foreign exchange conversions and interest rate risk mitigation.
- Develop solid relationships with clients by providing exceptional customer service and identifying opportunities for cross-selling treasury products.
- Analyze market trends and economic indicators to provide expert advice on optimizing cash flow, minimizing risks, and maximizing returns.
Job Requirements :
- 2-6 years of experience in banking operations or a related field.
- Strong understanding of banking regulations, treasury operations, and financial markets.
- Excellent communication skills with the ability to build strong client relationships.
- Proficiency in managing multiple priorities simultaneously while maintaining attention to detail.