Process clients securities settlement instructions (input, prematch, settle) with both internal and external counterparties (brokers and custodian banks) through the local Central Securities Depository.
Ensure timely and accurate delivery of transactions via BI-RTGS and SKN.
Perform reconciliation of incoming and outgoing transactions between BI-RTGS and the Core Banking System.
Prepare reports for internal stakeholders and regulatory authorities. Coordinate with other departments and relevant divisions within Krom, as well as with regulatory bodies, on a daily basis.
Actively participate and contribute to projects, automation, and process efficiency initiatives.
About You:
Bachelor's degree in Banking, Finance, Accounting, or a related field, with at least 2 years of experience in Treasury Operations.
Minimum 2 years of experience in handling settlements via BI-RTGS and BI-SSSS.
Knowledge of Treasury products is preferred.
Strong time management, planning, analytical, and organizational skills.