FNB Bank Ghana Recruiting [January 2015]

Posted on :

27 Jan, 2015

Category :

Banking Jobs in Ghana

Department Description

With FNB Ghana, you can be part of a company that offers you a career, not just a job. With a wide range of employment options and business areas to choose from, you are bound to find a perfect fit.

We share accountability with our employees and provide you with the best possible opportunities to learn and grow. We are breaking new ground with our innovative thinking and challenging our employees to think differently and develop into the thought leaders of the future. The foundation of our success is in our entrepreneurial culture and the belief that our people are our single most important resource.

If you share our values of being:

�  Helpful

�  Effective

�  Ethical

�  Innovative

�  Accountable

and you have one simple goal: to improve the lives of customers through simple, effective solutions that meet their needs, contact us today and join a winning team.

Job Title: Operations Head B

Brief Posting Description

The Head of Operations Manager is responsible for the management of the Treasury back office functions, settlements, confirmations, processing and control, plus query resolution. Ensure full segregation of treasury operations functions, and coordination of statutory accounts from a treasury perspective in compliance with goals, policies and objectives established by the COO, Ghana.

Detailed Description

This position is open to Ghanaians only

Job Requirements

�       Drive and manage the compliance to relevant industry standards, market practice, policies and appropriate legislation for the products of the bank.

�       Enable and foster a service ethic within the team to ensure that all queries are resolved timeously.

�       Establish and maintain a strong working relationship with all the Product Managers and other stakeholders.

�       Identify specific or imminent IT Infrastructure capacity, IT Infrastructure performance and/or IT Infrastructure operational support shortfalls.

�       Maintain, review and implement business risk controls.

�       Maintenance, administration and development of the Treasury Management System, to improve efficiency, maintain control and enable better visibility of treasury transactions.

�       Manage a team within one of the processes to provide process support across all products within the relevant business units.

�       Manage the daily processing of the confirmation, settlement or exception management process across all products within the relevant business units.

�       Manage these processes to support the products and deals within any one of the three processes relating to confirmation and payment deadlines.

�       Optimise efficiencies and STP ratios across the functions and processes.

�       Provide leadership to the team to achieve the goals of the bank and its business units.

�       Treasury management reporting. This includes monthly Treasury Reports for senior management, working with the business units globally on cash reporting and analysis, plus ad-hoc projects and support to the Treasurer.

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�       Maintain, review and implement business risk controls.

�       Maintenance, administration and development of the Treasury Management System, to improve efficiency, maintain control and enable better visibility of treasury transactions.

Additional Details

�       Relevant Financial degree/Work and at least 4 years relevant experience.

�       Results oriented with sound Business judgment and a high level of Integrity

�       Experience of the ALCO process and added advantage.

�       Ability to communicate effectively (both verbally and written) at all levels.

�       Ability to set up the Operations environment in a Greenfields startup.

�       Ability to work within fixed and short time frames, especially for dealing and settlement.

�       Accountability and ownership

�       ACI Accredited.

�       Adherence and respect for Compliance & Controls.

�       Communication skills.

�       Experience as operations subject matter expert to software development project teams to drive processing efficiencies and local requirements.

�       Experience of corporate accounting and treasury management systems (ideally IT2).

�       Experience or good working knowledge of the local clearing & settlement process.

�       Expertise in key control processes relating to Nostro, Vostros and suspense accounts.

�       Expertise in Swift processing and settlement processes.

�       Good analytical, reporting and spreadsheet skills.

�       Good people skills with an ability to build strong relationships with teams and customers.

�       Good treasury accounting or financial accounting experiences.

�       Performance and execution driven with a focus on time management.

�       Proficient in MS Office (Excel, Word, PowerPoint).

�       Strong Computer literacy and excellent Excel skills essential

�       Telephonic skills.

�       Understanding of banking instruments, procedures and dealing practices.

�       Willing member of a team, whether or not he/she has a direct and personal benefit from the teams achievement.

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