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1. Staff with 3-10 Years experience in Treasury Operations
Job Description
Process Trade Validation, Settlement, and Confirmation for MM, FX, CD, Bond
Prepare & Submit Local Regulatory Reports to BOK, FSS, KOFIA, etc.
Cash & Nostro Management and Reconciliation
Execute Fund Transfer, Payments in multiple currencies
Client A/C Set-up in multiple systems
Send Monthly OTC Derivatives Statement to the clients

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Job Qualifications
In-depth product knowledge and technical skills for Treasury business
Familiar with relevant market systems (BOK-WIRE,SWIFT,SAFE,FX Information System, etc.)
Fluency in Korean and English for both verbal and written communication
Excellent communication, interpersonal skill, and problem solving skill
Positive can-do attitude and strong responsibility
Detail-oriented
Strong Analytical & organizational skills required


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