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An outstanding opportunity to join our Global OTC & FX Operations team, a strategic daily partner for Global Cash Management, Front Office, Trade Management and many other important internal Credit Suisse departments as well back office teams from other banks and corporate institutions from all over the world. This would be for you a possibility to work with international partners to come up with new ideas to improve the process, reduce risks and costs, save time and increase efficiency of the daily cooperation tasks. You would collaborate with Credit Suisse clients in managing and resolving urgent issues, work on clarification of outstanding trades and prepare confirmation of in and outgoing cash flows. You responsibility would also include reconciliation of accounts to assure the trades/bookings/cash flows have been processed as per the request and in accordance with applied policies.
Your future colleagues
Group Operations carries out high-quality and efficient banking services to clients across the Business divisions ensuring an excellent execution of millions of transactions daily. We operate globally in four regions – 'Switzerland', 'APAC', 'Americas' and 'UK Entities, Wroclaw & Dublin'.
We apply a continual focus on improving productivity and efficiency while seeking new and innovative ways to support clients' changing needs. We are a department which values Diversity and Inclusion (D&I) and is committed to realizing the firm’s D&I ambition which is an integral part of our global cultural values.
This position offers remote working opportunities for an agreed amount of days per week.
Pracodawca zakończył zbieranie zgłoszeń na tę ofertę
Aktualne oferty pracodawcyPracodawca zakończył zbieranie zgłoszeń na tę ofertę
Aktualne oferty pracodawcyJunior Process Specialist #197263, Wrocław