Descripción de la oferta
ph3Responsibilities /h3 pAs part of the Front Office Global Transaction Banking in Spain, the candidate will farm an existing portfolio and as part of GTB Middle Office, you will be responsible for the delivery of the operational cash management and trade finance services execution for Societe Generale Spain Corporate clients. /p pThe role demands accurate operational skills, good planning and communication skills, professional integrity at all times and fluency in English. You will be an effective team player and possess excellent interpersonal and communication skills (both written and verbal) with the ability to build and influence business relationships at operational levels of our multicultural organization. /p h3Tasks and responsibilities /h3 ul liExecuting and controlling the implementation of corporate cash management projects for GTB/PCM customers, including proper follow up on KYC, Account Opening processes, implementation of credit lines and liquidity management structures and solutions, monitoring of credit exposure, set up of pricing conditions, etc. /li liPerforming and controlling payment services, including, but not limited to Manual Transfers, Confirming, Social Security and Tax Payments, Cheques, etc and executing the necessary reconciliation tasks /li liSupporting Front Office commercial activities, including: i) drafting of contracts for credit facilities (Overdrafts RCFs, Confirming) and PCM Services (Cash Pool, Electronic Banking Tools, etc.); ii) provide client support in day do day queries; iii) identifying sales opportunities /li liManaging operational cash management incidents, in coordination with the support teams at HQ level (BO, Product team, etc) and FO /li /ul h3Delivery of a high-quality client service /h3 ul liProvide consistent, high quality client service and support to achieve high client satisfaction and loyalty /li liAct as a dedicated first point of contact for our clients regarding all their daily banking requests and incidences, including but not limited to: follow up of flows, opening of new accounts, cash pool changes, amendments to Electronic Banking set-ups, local credit facilities, billing of products as per agreed pricing etc., in coordination with the Sales team and with our Back Offices /li liDevelop a close relationship with customers throughout the whole lifecycle and identify (and share with Front Office) business opportunities with existing customers /li liEnsure proper follow up on Anti Money Laundering requirements /li liHead Office Reporting and Permanent Supervision Requirements /li liOther tasks related to GTB MO responsibilities and processes /li /ul h3Profile required /h3 h3Experience /h3 ul liGood knowledge of GTB bank processes and products implications through an experience in the transactions banking industry: Cash Management, Trade Finance, Middle Office, Back Office or similar /li /ul h3Language skills /h3 ul liFluent in Spanish and English /li liFrench language knowledge is very appreciated /li /ul h3Technical, operational Soft skills /h3 ul liGood command of MS Office applications /li liGood communication and presentation skills /li liGood listening skills and capacity to understand clients’ needs / identify business opportunities /li liGood team member /li /ul h3Equal Employment Opportunity /h3 pWe are an equal opportunities employer and we are proud to make diversity a strength for our company. Societe Generale is committed to recognizing and promoting all talents, regardless of their beliefs, age, disability, parental status, ethnic origin, nationality, gender identity, sexual orientation, membership of a political, religious, trade union or minority organisation, or any other characteristic that could be subject to discrimination. /p /p #J-18808-Ljbffr