Qureos

FIND_THE_RIGHTJOB.

Team Leader, FI & Operations

JOB_REQUIREMENTS

Hires in

Not specified

Employment Type

Not specified

Company Location

Not specified

Salary

Not specified

Oversee day-to-day operations, including transaction processing, settlement activities, Rate fixing, and service delivery, both internally and with clients


Responsibilities include Trade Finance, DCM, Syndications, Cash management, and Treasury business.


Preparing reports, metrics, and analysis for senior management and regulatory bodies.


Assign tasks, to team members as per business need


Handling escalated customer queries and complex service issues.


Monitoring the bank exposures including Sovereign risk periodically, to ensure accurate reporting and ongoing quality of the portfolio.


Closing data gaps on the system


Monitoring the trade volume and credit facilities on an ongoing basis.


Handling documentations at FI level, including MRPA, MTLA, Syndications, FOLs,

Follow up on the Agenda of FI credit files, save credit committee minutes


Provide support in the preparation of the FI credit files


Update dept. Country / Bank credit limits


Provide reports on current exposure by bank, country, etc.


Support SRM and RM for compliance tasks.


In charge of the KYC database (new, renewals ) under EDMS.


In charge of coordinating with compliance dept. for any counterpart inquiry

Support SRM and RM for all customer positions / reservations and process transactions.


Manage the dept. Country / Bank credit limits (new transactions, reservations, repay.)


Initiate approval process for the booking of a transaction


Inform back offices of approvals of transactions


Inform and Follow up with SRM / RM on any payment delays of capital, interest, fees

Provide frequent activity / portfolio and on demand reports:


Daily FI balance funded assets


Weekly FI transactions / Pipeline report


Monthly Repayment report, monthly vostro activity


Quarterly RMCC pack


Bi annually Profitability MIS


Follow up with correspondent banks on pending / recall payments


Provide support to the NBFI segment (delayed payments, etc.)


Follow up with correspondent banks unpaid charges (fees ..)


Handling queries of the AED Vostro accounts

Act as the custodian of the department Policies and Procedures,


Recommend amendments when and if required,

Manage & guide ARMs in handling daily transactions & credit approvals

Manage public domain info related to FI (SSIs, list of correspondents, Almanac)


Manage and Renew US and UK process agents mandates


Forward / Follow up audit requests from / to banks


Safe keeping of various agreements: MRPA, loans, terms and conditions


Manage SWIFT Alliance for RMAs, summary extractions, KYC registry


© 2025 Qureos. All rights reserved.