Singapore
Sumitomo Mitsui Trust Bank Limited (Singapore Branch) - August 2012 till Current Senior Operation Assistant Bilateral/Syndication Loans, Repurchase (secondary loan), Interest Rates Swap and Foreign Exchange transactions - Receive instructions from marketing on new drawdown, rollover or settlement of loans. - Check and verify customer’s signature(s) on applications and other related documents. - Prepare foreign exchange transaction slips, rate fixing slips, communication cards and input tickets. - Send fax to both Singapore and Vietnam customers on their Libor fixing. - Key rates into the system on fixing date to execute the transactions. Swift Messages - Prepare outgoing swift messages and distribute incoming messages to the staff/relevant departments for processing. Reports - Do weekly reports for submission to head office. Others - Assigned to teach marketing staff who is an expatriate about loans. The Bank of Tokyo-Mitsubishi UFJ (Singapore Branch) - May 2007 till August 2012 Operation Assistant Internal Fund Transfer - Receive instructions either from the marketing or the customers and perform the internal fund transfer between the applicant and the beneficiary. Issuing of Cheque Book - Customers use our bank’s standard form to apply for cheque book. - Upon receipt of the form, verify the signature(s) of the customer, check all details are filled in correctly and check the account to make sure there is sufficient fund to debit the charges. Clearing of Cheques - Separate the stack of cheques and the bank-in slips accordingly. - Do calculation on both the cheques and bank-in slips to make sure the amount tally. - Send the cheque for clearing. Handle Enquiries - Handling customers’ enquiries either through the phone or face-to-face.