Handling checking of L/C and L/G applications of inward and outward confirmation of L/G in line with GBF approved limits against respective correspondent banks.
Daily monitoring of the country correspondent banks limits.
Incoming and outgoing SWIFT mails and courier memo drafting for business requirements.
Preparing book entries for risk participation rebates income.
Overseas seminars preparations and coordination.
Anti‑Money Laundering Knowledge‑Your‑Customer due diligence of correspondent banks and opening of accounts, including Nostro Vostro accounts.
Work related to syndicated loans.
Work related to preparation of risk participation and accounting of entries.
Preparing management and board memos in Arabic and English versions and coordinating with the team manager.
Arranging meetings with correspondent banks including venue and transportation.
Maintaining a...
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