Techcombank đang tuyển dụng Manager, Payment, Trade Finance and Treasury Services - Experience in AI (40000132) — vị trí làm việc tại TP. Ha Noi.
Thông tin tuyển dụng Techcombank
| Thông tin | Chi tiết |
|---|---|
| Vị trí | Manager, Payment, Trade Finance and Treasury Services - Experience in AI (40000132) |
| Ngân hàng | Techcombank |
| Đơn vị | Operations Division |
| Địa điểm | TP. Ha Noi |
Mô tả công việc
Job Purpose
Organize, manage and operate all activities at Payment và Trade Finance
Key Accountabilities (1)
- Human resource management: Particpate in:
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Develop training programs and development plan for adjacent staff,
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Be responsible for training operations related to the payment operations of the team assigned to manage.
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Develop an assignment mechanism, recording and evaluating the employees’performance…in a unit, ensure to maintain adequate and qualitative human resources
- Operations Management:
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Identify, evaluate, report and coordinate coordinate in overcoming operational risks and problems arising in the implementation process
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Participating in comments and implementing operation plans related to the assigned business segments in charge.
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Ensure that the Group’s activities are complied with the internal policies, regulations, procedures, guidelines… and meet commitments of the quality of services (SLAs).
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Monitor, measure and supervise service quality such as NPS, SLA, FTR, TAT of service: Domestic Payment, International Remittance, Import and Export Trade Finance and Treasury Operations
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Participate in product design with GTS and Business Division; design suitable operational system solutions based on automation and digitalization, meeting requirements from the Business Division during the process of designing offering for customers
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Advising customers and business units on Domestic Payment, International Remittance, Import and Export Trade Finance and Treasury Operations
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Advising on risks to customers related to the implementation of international rules and standards, according to the forex ordinance and the WTO commitments on Trade Finance and International Settlements; legal provisions related to capital market activities on the treasury transactions.
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Advise on operational regulations related to money laundering prevention, customs clearance, transportation and insurance related to Trade Finance operations and international payments
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Recognize risks, develop and implement risk control measures of the unit during the operation, coordinate with the relevant units to develop risk measurement, assessment and reduction methods.
Key Accountabilities (2)
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Check credit conditions, business conditions and issuing / changing / canceling letters of credit for imported goods / guarantees of the whole system; Endorsement, issuing guarantee for receipt of goods, checking import documents by LC methods, collection request, L / C payment, payment of assistance for collection (DP/DA) and other handling and accounting requirements related operations of the entire system in the scope of authorization
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LC Notice / Guarantee, LC assignment; LC transfer payment; money accounting; Checking and Processing documents, checking and controlling credit conditions, professional conditions for discounting disbursement … and other related trade finance operations such as LC confirmation, factoring , …) in accordance with the Bank’s regulations.
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Control, approve transactions
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Outgoing international remittance,domestic payment and related investigation, Incoming international remittance, domestic payment and related investigation;
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Manage the operation of the system’s Western Union remittance and receipt service, and support the deployment of new transaction points
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Correspondent Banks: RMA, Bank ID, the client’s MT940 sub-book service on T24, the Bank codes used for interbank payments.
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Fee code on T24 and fee reduction mechanism according to assigned business programs
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Approval limit on T24 according to the authorization decision of each individual in the Payment & Trade Finance department
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Managing and implementing FX, MM, Derivatives, and GTCG services of GTS including: confirmation of transactions with partners; collateral related procedures; order trading of listed bonds (HNX); bond transfer; accounting and payment according to the terms of the contract; control transaction data…
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Control and directly carry out the following activities within the professional scope of FX, MM, derivatives and GTCG transactions:
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Making and controlling transaction documents, accounting / approving accounting (if necessary), checking (validate) transactions, settling transactions; ensuring that transactions are updated on the system and managed life cycle in accordance with Techcombank’s regulations and instructions. + Controlling and solving arising problems related to transactions of FX, MM, derivatives and valuable documents (GTCG). + Drafting contracts, settlement accounting for corporate bond purchase and sale transactions
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Place buy/sell orders on HNX (listed bonds), transfer GTCG (unlisted GTCG);
Key Accountabilities (3)
- Check and compare
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Ensure transaction sufficiency across department system (volume, amount).
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Transactions arising on internal intermediary accounts, receivables and payables are managed by the assigned department.- Report data under the scope of implementation at the department
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Assigned report data within the scope of the department
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Keep tracking of investment account; Monitor & compare transactions performed by branch in relation to GTS
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Make reports according to management requirements: mature source report, HNX order placement report, date close control report, other reports according to each operation
- Other
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Coordinate with the Center for Capital Management and Transactions in the Financial Market to regulate and use the funds on liquid Nostro accounts of Techcombank Head Office
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Control the quality of instruction guidance through the Call Center/customer service support email by the department in charge
Other
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Coordinate the implementation of consultancy activities, professional guidance and training for units in the whole system for the assigned operations
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Participate in developing regulations, processes, and guidance in accordance with the bank’s management requirements.
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Participating in projects related to assigned operations.
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Perform other relevant tasks as requested by Senior Manager, Payment and Trade Finance / Director, Payment and Trade Finance / Head of Payment and Trade Finance
Key Relationships - Direct Manager
Senior Manager, Payment, Trade Finance and Treasury Service
Key Relationships - Direct Reports
Senior Officer/Officer of Payment, Trade Finance and Treasury Service
Key Relationships - Internal Stakeholders
Branches; GTS Product Division and Business Divisions; GTS Customer Service Division;
Product design department of Operations Division; System Automation Division of Technology Division; Legal Division of CA Division; Policy and Tax Division of Finance Division.
Key Relationships - External Stakeholders
State Bank of Vietnam, Bank of Vietnam Exchange, NAPAS, Stock Exchanges; Depository companies; Securities brokerage companies; Agency banks and other credit institutions; Swift Organization; Western Union Company; Auditing companies; Techcombank’s customers.
Success Profile - Qualification and Experiences
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Degree: Bachelor degree with major in: economics, finance, banking, foreign trade …
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Have at least 6 years of experience in the same professional field (include managerial experience)
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AI Skill
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Foreign Language (English): According to the Techcombank’s policy
Cách thức ứng tuyển
Xem chi tiết và ứng tuyển tại: Techcombank
Ngày đăng: 26/03/2026
Nguồn: Techcombank
Đăng bởi: UB Job Crawler