Cash Operations Job Description
Cash Operations Duties & Responsibilities
To write an effective cash operations job description, begin by listing detailed duties, responsibilities and expectations. We have included cash operations job description templates that you can modify and use.
Sample responsibilities for this position include:
Cash Operations Qualifications
Qualifications for a job description may include education, certification, and experience.
Licensing or Certifications for Cash Operations
List any licenses or certifications required by the position: ACCA, CPA, ACAMS, CIMA, CTP, MBA
Education for Cash Operations
Typically a job would require a certain level of education.
Employers hiring for the cash operations job most commonly would prefer for their future employee to have a relevant degree such as University and Bachelor's Degree in Accounting, Finance, Business, Education, Economics, Business/Administration, Statistics, Associates, Management, Finance/Economics
Skills for Cash Operations
Desired skills for cash operations include:
Desired experience for cash operations includes:
Cash Operations Examples
Cash Operations Job Description
- Understand the various calculations data goes thru prior to consumptions various reporting teams
- Supervisor in Cash Ops who is involved in cross border remittance processing verification
- Client service for client's Treasury solution and Cash management
- FX validation for underlying documents collected from clients and local regulatory reporting
- Responsible for signing off on DFA confirmation regulatory reporting, trend analysis monitoring and escalation of breaches to front office stakeholders Monthly KRI r
- Handles LC advising/confirmation
- Incoming SWIFT Register/Distribution
- Renegotiation / Direct negotiation Document sorting by document and closely work with Hub processing team for those documents to be processed
- Prepare Standby LC/Guarantee Issuance
- Process Open account/ DA Financing
- Minimum 2 years as Operations Supervisory role
- Has a good leadership skill
- Knowledge of relevant Central Bank regulations
- Accuracy and care
- Knowledge on FX regulations and experience with cross border payment processing checking
- Positive attitude with good team work and working relationship with Product and Sales
Cash Operations Job Description
- Risk Participation payment
- Process Import Loan/ Clean BA Financing
- Prepare local regulatory reporting
- End of day reconciliation
- Responsible for day to day activities of the team and ensure processes are in line with policies and regulations
- Provide feedback and update on business requirements
- Engagement with stakeholders to improve the services provided to clients
- Monitor and verify daily processing for cross-border remittance (inward/outward), foreign currency related transaction draft issuance and co-ordinate with hub to ensure transaction are complete and correct
- Coordinate and monitor HUB processing on any payment function
- Investigate and response to query/cases regarding to payment function
- This position requires the incumbent to clearly communicate with internal Wealth Management business units and co-workers
- University degree in Accounting/Finance/Economics/ Business Administration or related degree
- Understanding on rules and regulation relevant to the Banking Ops, Bank Negara Rules and Guidelines, Myclear Procedure and Rules
- Ability to communicate proactively and openly with internal business partners and client to support business
- Implement technology as tools of automation to reduce manual process
- 10 - 12 years of Industry experience including cross border and domestic payments processing
Cash Operations Job Description
- Perform & monitor Time Deposit opening/closure/maintenance process
- Check, verify and sign off all documents and transactions
- Ensure regulatory report BOT, AMLO, DPA submission are correct and within stipulated timeline
- Response and reply any inquiries from others, both inter company and corporate clients on transactions related to the department
- Daily oversight and monitoring of team functions
- Managing a team of individuals to include career progression and future development
- Subject Matter expert for function and product covered within the group
- Analysis of current processes and identification of process/system to increase efficiencies
- Supporting applicable Change the Bank and Run the Bank Projects impacting the team, from inception
- Monitoring of internal SLA’s and ensuring deadlines are adhered to
- Relevant experience in management role and handling change management projects in Operations
- Proven ability to analyse and assess the business and financial impact of proposed initiatives and to recommend appropriate action
- Experience working with trading platforms, ideally Cash equities
- Proactive and highly responsible for the assigned tasks
- Multi task capacity and excellent organizational skills with ability to
- Identify and prioritize the tasks
Cash Operations Job Description
- Ensure the team are meeting the trade documentation processing SLA’s
- Complete the monthly certifications and report on reconciliations and account assignments
- At least five years of relevant experience in operational banking, custody or funds reconciliations
- Experience in and understanding of international and domestic cash products
- Verification experience awareness of the risk and control requirements in an operational environment
- Responsible for supporting regional management in managing and providing oversight of Cash Operations in Asia , including planning, strategy, organizational structure, budget and resource allocation
- Lead and support regional and local initiatives to drive efficiencies, productivity and process improvements
- Ensure sufficient internal controls and procedures to minimize risk – able to drive the risks and controls agenda including working with local operations managers on external and internal audits/regulatory reviews/inspections
- Process Level 1 review for all OFAC and SCP cases
- Perform additional searches to assist in OFAC and SCP review process
- Retrieve credit breach report from system and circulate via email to stakeholders
- Save daily COLDS & COLW from KPEI for audit trail
- Daily rebate Reconciliation and prepare payment instruction to India Regional Operating Center (ROC)
- Approve settlement instruction in CBEST (clearing house system)
- Pre-match settlement instruction in CBEST with client's custodian banks
- Prepare and send daily status settlement report to India ROC
Cash Operations Job Description
- Involved with KPI reporting for OFAC/SCP transactions and referrals
- Ability to work in a dynamic and high paced work environment
- Communicate with internal departments to resolve OFAC/SCP related issues/problems
- Manual processing for local cheque and cash letter deposit
- Outward clearing cheque processing and reconciliation
- Outstanding cash letter follow up and return cheque handling
- Inward clearing cheque verification and reconciliation
- Auto Pay set up, maintenance and processing
- Reconciliation between product system and general ledger
- Provide assistance for any inquiry from overseas processing hubs
- Perform daily settlement instructions in system
- Import daily trade data from system to be reconciled against Exchange transaction data
- Import daily Exchange transaction data to system after market close
- Prepare daily trade confirmation, send to client and maintain the evidence for audit trail
- Reconcile client's transaction against Exchange data
- Retrieve summary portfolio holding from system, reconcile it against CBEST data and submit the report to KPEI web site in daily basis