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Update funding templates/sheets for loan/trade transactions upon execution of underlying facility agreements. Seek inter-branch funding and execute deals with SMBC treasury counterparts for financing and rollover of underlying customer loan/trade transactions and Branch funding requirements. Execute FX conversions for meeting branch requirements. Assist senior team members with their deal execution. Input deals executed into SMBC systems. Support on MIS preparation, deal pipeline management, internal and external pitch books/presentations and KYC activities of the team. Coordination with Business, SMBC treasury counterparts, Back office, Trade Operations to ensure smooth deal execution. Ancillary activities as per team/Branch requirements. Additional items related to the above task or as designated by the team head & GIFT City branch head from time to time. Ensure compliance wit...
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