Reconciles Trade accounts (Nostro, Vostro, GLs, Suspense, Receivables, Payables, Blotter), ensuring and validating accurate and timely settlement and reconciliation of the underlying Trade transactions.
Collaborate with the relevant teams/departments/subsidiaries within and outside the country on reconciliation functions.
Support the bank’s process and control improvement initiatives.
Reconciles Trade Obligations report ensuring that unaligned reports between the bank’s record of outstanding obligations and that of the customers are investigated and reconciled.
Enforces compliance with the call-over control requirements.
Administration and Management of reconciliation data, reports, and files.
Responsible for adhering to corporate standards and procedures in all account reconciliation activities.
Handles functional and hands-on training for the team members.
Requirements
Education:
Candidates should possess First Degree in any discipline
Trade Certification (CDCS, CSDG, CITF), Master's Degree and other professional certification (added advantage).
Experience:
3 - 5 years of experience in Trade Services Functions.