Identify common transaction issues such as pending, failed or delayed transfers, incorrect or unsupported network selection, missing confirmations and platform side processing delays, and escalate according to procedure
Support account verification and KYC related enquiries, including document status questions, verification failures and requests requiring further review
Assist with account access, password reset, authentication, account lock and suspicious login concerns while following identity verification procedures
...
Identify common transaction issues such as pending, failed or delayed transfers, incorrect or unsupported network selection, missing confirmations and platform side processing delays, and escalate according to procedure
Support account verification and KYC related enquiries, including document status questions, verification failures and requests requiring further review
Assist with account access, password reset, authentication, account lock and suspicious login concerns while following identity verification procedures
...
Support the team in the conduct of due diligence and verification of data, statements and other information to be disclosed to ensure its validity, accuracy and completeness and are not misleading.
Assist in administrative matters such as overseeing timely billings and collection of fees.
We are seeking suitable candidates to fill the position of Manager/Asst Manager in our Corporate Finance / Investment Banking Division based in Kuala Lumpur. Candidates should have 3-5 years experience in Corporate Finance with a licensed Investment Bank or Brokerage
...
Support the team in the conduct of due diligence and verification of data, statements and other information to be disclosed to ensure its validity, accuracy and completeness and are not misleading.
Assist in administrative matters such as overseeing timely billings and collection of fees.
We are seeking suitable candidates to fill the position of Manager/Asst Manager in our Corporate Finance / Investment Banking Division based in Kuala Lumpur. Candidates should have 3-5 years experience in Corporate Finance with a licensed Investment Bank or Brokerage
...
Receivable reports – daily cash collection and sales reconciliation and adhoc reporting such as void sales and bill cancellation
Responsible for ensuring that inventory records for the Group are accurate at all times.
Ensure stock adjustments are authorised and actioned within a timely manner. Verify count results submitted by all countries before proceeding with adjustment and to determine, where possible, if variance is caused by system, human error or actual stock loss/theft;
...