Analyst, Global Market Ops (Derivative & Money Market) - Contract
On-siteJakarta, Jakarta, Indonesia
Job Summary
Process daily derivative and money market transactions, including interbank lending, borrowing, and BI transactions, while calculating interest and withholding tax per MUFG policies. Prepare and settle all related documentation, control outstanding positions and brokerage fees, and generate accurate reports on MTM, customer balances, and regulatory filings such as ISDA and monthly brokerage summaries. Trace and report outstanding lists for interbank derivative confirmations to designated authorities and government regulators. Requires 3-5 years of treasury operation experience, knowledge of treasury products, and fluency in English. This contract role supports the Global Market Operations Unit's financial objectives within MUFG's Derivative and Money Market department.
Required Qualifications
- Fluent in English
- Economy, Management or Accounting education background
- 3-5 years experience in Treasury Operation area
- Knowledge on Treasury Product
- Basic accounting
- Basic Ms. Excel
Desired Qualifications
- Preferable education background: Economy, Management or Accounting
- Having 3-5 experience in Treasury Operation area would be an advantage
- Preferable to have knowledge on Treasury Product and basic accounting
- Preferable to have basic Ms. Excel
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