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Operation Issuer Services HUB LATAM Analyst

Citigroup

Sao Paulo Sao Paulo BrazilMid
Sign in to applyVerified 1h ago
Location
Sao Paulo Sao Paulo Brazil
Work model
On-Site
Level
Mid
Posted
1d ago

About this role

Facts : Issuer Services Ops Tampa Hub perform the contractual obligation activities for more than 300 contracts for the following countries: Panama, Colombia, Puerto Rico, Peru, Brazil, and Argentina.  Our business handles a wide variety of types of contracts. No contract is the same; all are tailor made, according to the needs of the clients. Each Latin America Country has their own regulations that the candidates must understand, has a comprehensive knowledge, and be aware of each change of the regulation. The candidate must have good skills in learning the different systems depending on the country that will be under his/her responsibility. Keep in mind that the candidate will have a short learning curve, due to the complex and dynamic nature of the business. Therefore, the candidate must be aware of this challenge. Day-to day responsibilities General Administrative activities Individual mapped to this job description is responsible for Agency & Trust transaction processing execution.  Typically related to Issuer Services LATAM Operations. Perform operational activities during the phases of Implementation, Administration, and Termination according to the Agency & Trust deal agreements. Support with the Implementation activities of Electronic Banking for clients (internal and external) Support LATAM Agency & Trust Operational activities end - to - end, including the process of coordinating with other teams based on a different country. Follows established procedures to identify problems related to Operational activities that require investigation or research. Update of procedures, instructions, manuals, and checklist of the area. Delivers reports to satisfy management requirements and support control activities. Provide assistance regarding Projects related to Agency & Trust business. Minimizes risk to the bank through increased knowledge of procedural requirements - understands and monitors errors to adhere to audit and control policies. (incl. reconciliation, accounting, payments, and other processing systems). Timely management and escalation of all requests inquiries issues errors. Demonstrates an intermediate level of understanding of products and processes, and of how duties relate integrate with others in the team and closely related teams. Demonstrates an excellent knowledge of bank related systems. Utilizes strong communication, interpersonal and diplomacy skills to interact with colleagues and stakeholders, and to exchange potentially complex sensitive information, while being sensitive to audience diversity Act as backup of other positions of the Issuer Services Ops group (as required). Provide support in any other activity that is assigned. Work on holidays and at different time-zones to service the respective Latin American countries. Specialized activities Contractual Obligations : Read , analyze, and understand the different contracts for each client in different jurisdictions. Execute the day-to-day activities according to the contractual obligations for each client, using our core system as tickler. Input the operational activities into the Issuer Services Workstation platform according to the transactional Checklist. Input the evidence of each task performed into the system or Share drive. Perform collateral obligations accordingly to contract rules (calculation, waterfall, notifications, etc.) Prepare and send (according to the A&T contract and frequency) the commission collection letters to the clients. Accounting, Billing and Reconciliation : Execute of the electronic invoice process and accounting register Record the commissions and their monthly accrual according to the Fee Schedule of each contract. Ensure to complete control log daily, to assurance that all instructions received were performed. Daily, balance the accounts of the different contracts. Confirmation of the balance sheet review in system, with the supporting documentation Review, input, or approve (depending on the role) accounting

Operation Issuer Services HUB LATAM Analyst at Citigroup — Sao Paulo Sao Paulo Brazil | Yoinka