Description
- Client Implementation is responsible for highly complex client account openings and product set up requests (including new, changing or expanding requirements).
- Work includes Implementing top-tier solutions for corporate clients and financial institutions.
- Delivering seamless product(s) / service(s) setup and streamlined installation processes in compliance with internal and external policies and regulations.
- Monitoring and evaluating product performance and client feedback to generate new product ideas and identify product / service features that need to be changed to meet client needs.
- Liaising with other areas of the bank to implement these changes
What we’ll offer you
As part of our flexible scheme, here are just some of the benefits that you’ll enjoy
Best in class leave policyGender neutral parental leaves100% reimbursement under childcare assistance benefit (gender neutral)Sponsorship for Industry relevant certifications and educationEmployee Assistance Program for you and your family membersComprehensive Hospitalization Insurance for you and your dependentsAccident and Term life InsuranceComplementary Health screening for 35 yrs. and aboveYour key responsibilities
Implementation of Cash Management, Trade products and solutions that include but not limited to Account Opening, Electronic Banking, Host to Host, ERP Integration, API’s and global file format testing.Responsible for end-to-end implementation of Cash & Trade products and solutions for clients.Liaise and work with onshore implementation and service team on all documentation that covers new / sub-account opening, account closure, account mandate updates, account amendments, as well as setup on Corporate Bank Products.Coordinate E2E UAT testing and go live for electronic banking / Host to Host / Integration with clients and internal stakeholders.Manage implementation, maintenance and all other Product related documentation requirements including signature verification, digitized document archival.Ensure timely and efficient delivery of required document package to onshore requestor with quality.Work closely with implementation and product management on procedures / workflow concerning product documentation.Coordinate with internal parties to ensure all related setups are in place.Distribute documents to other DB branches / department if neededEscalate Technical / Product issues with respective Level 2 support teamsMaintain functional & technical understanding of numerous back-end systems with the ability to identify and solve issues through data comparison.Develop proactive correction plans to minimize downstream impact and manage client escalation and involve senior management, as necessarySupport the product teams with testing of various applications during periodical releases and bug fixes.Tasks being performed by the team to be documented and up-to-dated using Internal Workflow Tools.Manage each case using internal case management tool.Should be flexible with work timings in order to support other geographical locations in Asia Pacific.Your skills and experience
The person required for the above position should have the following profile :
8-12 years of experience in Cash Management / Trade Finance ImplementationExperience in IT systems administration / Networking will be an advantageStrong communication and inter-personal skillsAnalytical capabilities and logical thinking\Strong team player : be part of a global / regional team, communicating, managing and cooperating closely on a local / regional / global levelEducation : University degree or equivalent professional experienceLanguage skills : fluency in Japanese / Mandarin (3-5 years of experience)How we’ll support you
Training and development to help you excel in your careerCoaching and support from experts in your teamA culture of continuous learning to aid progressionA range of flexible benefits that you can tailor to suit your needs