To support and assist the Head, Reconciliation - Investors Services Operations by providing efficient and effective planning and management of systems and processes within the Financial Control space so as to provide a level of operational efficiency and customer intimacy required for best customer experience and minimize operational losses as well as ensure good external relationships.
Drive continuous improvement of key processes within Finance, billing and reconciliation to improve on TAT & customer experience.
Partner with Change & IT team to deliver on generation of Euro bond statement automation and stock automation.
Identifies, assesses and mitigates the risks facing both systems and business processes thereby minimizing the operational risks.
Method of application: Click on this link to apply