Job Description
Responsibilities
- Manage the transaction issues direct to user
- Responsible for daily reconciliation & daily settlement
- Cross-checking existing data
- Responsible for reporting and documentation as needed
- Perform client deposit/withdrawal corporate action
- Generate client payment
- Pre-matching with bank custody
- Responsible for reporting and documentation as needed
- Make transaction reports
Requirements
- Bachelor degree in Management, Finance.
- Must have a WPPE license from OJK
- 1 years experiences in Operations/ Settlement in securities/ broker Company.
- Strong initiative, communicative and interpersonal skills.
- Ability to work independently and in a team environment.
- Loyal and active person