Review daily exchange rates published by the Central Bank and promptly disseminate the approved rates to relevant internal Viber groups for operational and business use.
Prepare daily Customer Buy/Sell transaction settlement reports using Excel and circulate them via email to senior management to ensure timely management oversight.
Monitor and compile successful Importer and Exporter transactions from online trading platforms, prepare Excel summaries, and submit outstanding transaction reports to the department head for follow‑up and control.
Process daily treasury transactions for export incoming proceeds, based on reports received from the TT Department, in compliance with regulatory and internal policy requirements.
Perform reconciliation of treasury transactions using Instrument Numbers against the assigned GL Code to ensure accuracy and completeness of records.
Reconcile and process fund movements transferred and execute the corresponding treasury transactions.
Coordinate with branches, relationship managers (RMs), and customers regarding Buy/Sell cases by responding to inquiries related to required forms, cheques, and transaction procedures.
Accurately process Customer Buy/Sell transactions by verifying cheques and forms and posting transactions correctly in the Core system.
Receive cheques submitted by branches via email, print, verify, and process the related treasury transactions in a timely manner.
Prepare and maintain internal departmental correspondence, notices, and required documentation related to treasury middle‑office operations.
Act as a control function between Front Office and Back Office, ensuring transaction accuracy, completeness, and compliance with approved treasury procedures.
Support internal control, audit requirements, and management reporting by maintaining proper documentation and transparent transaction records.
Job specification
Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or Banking.
Proficiency in MS Excel, Word, and data analysis/reporting tools.
Working knowledge of treasury systems, core banking systems, or TMS.
Excellent interpersonal, effective communication skills and strong negotiation skills.
Knowledge of treasury settlement processes, deal confirmations, and cash flow management.
Proficiency in MS Office, written and spoken English & Myanmar Language.
Ability to guide junior staff, review their work, and ensure procedural compliance.