• Be able to take orders and place orders in the system from clients
• Lead the end-to-end account opening process taking into consideration the local regulatory specificities that drive the documentation requirements
• Ensure a strict follow up of documentation (pendings, middle office, R&C lists) by contacting clients in coordination with banker in lead of the relation
• Support the banker in gathering information for KYC updates and support in account opening process
• Responsible for cash management for Advisory and ExO accounts
• Process workflow requests in the systems (client codifications, credit card requests, credit lines, pricing exceptions, etc.) and ensure relevant client documentation is captured in the systems (memos, orders, etc.)
• Close coordination with the zone’s Business Risk Manager to resolve any risk & compliance matters
• Process payments and transfers while ensuring call backs are systematically performed and support for other transactional activity where needed
• Support in the Strategic Pricing Review project: update client Pricing in the Migration Tool; input all necessary workflows in the systems; liaise with Project managers, Pricing team, the Front and clients; review and update Pricing lists in coordination with bankers/ CROs