To support all secretarial duties / office administrative for Head of Treasury Department
To manage the diary schedules, travel bookings and arrange both oversea/domestic meetings for Executive Directors and organize event and seminar for Bank
To assist the FX Corporate Sales for quoting Foreign Exchange Rate, B/E, Fixed Deposit and system entering i.e. spot, swap, outright forward deals
To assist FI Relationship Banker for KYC Process Review, coordinate with Singapore Team for opening new account and annual reviewing the existing clients- checking and verifying the updated documents i.e. company affidavit, list of shareholder, annual report and company director’s identification