Foreign Private Bank
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Reviewing legal documentation under bilateral and syndicated credit facilities and facility letters to ensure terms and conditions are in line with credit approvals.
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Able to accurately interpret the Facility Agreement in determining allowance of requested transactions.
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Examine customer utilization requests relating to bilateral and syndication of loan credit facilities and ensure that facility limits and all conditions of precedent are met before loan disbursement.
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Perform all aspects of loan drawdowns, rollovers and collection of principal repayments and interest payments for both bilateral and syndicated loans.
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Interact with Relationship Managers when required in following up on outstanding matters and/or documentation from them.
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Perform AML / KYC checks.
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Prepare swift payments for loan disbursements.
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Ensure proper record and safe keeping of loan related documents.
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Processing of Bank Guarantees/ Standly Letter of Credits.
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Preparation of local, regulatory and Head Office reports.
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Work with IT Teams on system upgrades, UAT roll outs.
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Take on work related projects and other duties as assigned by Management.