1. Responsibility to track and update P&L for Non Trade Remittances.
2. Preparation, monitoring, analysis and reporting of Non Trade Foreign Exchange Transaction, product revenue streams.
3. Preparation of product notes and getting them approved through stakeholders and the Product Approval Committee.
4. Drive Technological initiatives to improve revenue streams, client deliveries and operational efficiencies for owned suite of products.
5. Keeping track of technological disruptions in the area of trade finance and aligning banks strategies with the market changes.
6. Tracking regulatory changes and communicating the same to the sales, service and operations teams for managed suite of products.
7. Standardizing documents, Pricing, and delivery offerings for clients.
8. Ensuring regular & timely MIS as and when required by the Team & Management.
Didn’t find the job appropriate? Report this Job