Supervises and coordinates incoming and outgoing payments with BACI and obtains documentation as applicable/handles related queries
Approves EPCS and PDDTS transactions and funds Partner bank accounts
Handles outstanding items in Due From Accounts, Suspense items and holdovers items with Reconciliation Team
Manages GLFX, CTR Reports and Certifications of Inward Remittances
Coordinates with BACI investigation Team non-receipt of payment instructions
Notifies Client Servicing Team for rejected/returned payments
Reviews AOC referred transactions and various reports for the Group
Initiates, maintains and enhances communications with other business units and other appropriate line areas. Acts as one of Operations’ client links to respond to client demands in a timely manner.
Reviews regulatory and compliance issues and modifies affected procedures / reports accordingly.
Acts as back-up officer in Operations.
Reviews and monitors Service Level Agreements to ensure compliance and quality of service.
Ensures that an updated contingency plan is in place and tested for effectiveness.
Adheres to written policies and procedures and continuously improve work processes.
Other Dimensions:
Handles Payments –related Reports
Broad knowledge of product lines managed as well as related regulatory requirements, systems, internal accounting and control and BAC procedures.