Roles & Responsibilities
Responsibilities
- Process inward and outward remittances efficiently and accurately
- Handle issuance of Demand Drafts and Cashier’s Orders for account holders and internal customers
- Input FX Spot / Forward Contracts and manage inward clearing drafts
- Process foreign currency cheques received for Current, Savings, and Deposit accounts
- Input inward collection cheques from Head Office, branches, and correspondent banks
- Manage remittance volume reporting for Support Section (MAS reporting – Demand Draft / Cashier’s Order / ICCR)
- Process customers’ standing instructions and prepare funds reporting to Treasury
- Compile and submit monthly reports
- Participate in projects, system testing, and process improvement initiatives
Requirements
Degree holder with 1–2 years of relevant banking operations experienceFamiliar with remittance, cheque clearing, and FX processingStrong attention to detail and accuracy in handling transactionsGood communication and teamwork skillsProficient in Microsoft Office applicationsReady to make an impact? We’d love to hear from you! Apply today by sending your resume to apply81@talentvis.com or click apply now!
We regret to inform that only shortlisted candidates would be notifiedTalentvis Singapore Pte Ltd | EA License No : 04C3537
EA Personnel Name : Sherwin Wong | EA Personnel No : R1770151
Tell employers what skills you have
Customer Service Skills
cash deposit
Microsoft Office
Strong Attention To Detail
Currency
Forex
cheque deposits
Customerfocused
Deposits
Banking
Remittances