Wong Chun Meng

Wong Chun Meng

Senior Executive (Treasury Back Office)

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location of Wong Chun MengWP. Kuala Lumpur, Federal Territory of Kuala Lumpur, Malaysia

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  • Timeline

  • About me

    Assistant Manager, GO - TO (Treasury Operations)

  • Education

    • International University of Malaya-Wales

      2021 - 2023
      Master of Business Administration - MBA Business Administration and Management, General
    • Tunku Abdul Rahman University College

      2015 - 2017
      Bachelor's degree Business Administration and Management, General
    • Coventry University

      2015 - 2017
      Bachelor of Arts with honors Business Administration
  • Experience

    • Public Bank

      May 2017 - Sept 2021
      Senior Executive (Treasury Back Office)

      1. To reconcile and check all currency receipts and payments executed by respective nostro agents.• Investigating on the issues of any discrepancy and settlement failure with counterparties or nostro agent via SWIFT messages or email.• Liaise with Treasury front office dealer on the non-receipt of fund from counterparties and the actions need to be taken.2.To update and monitor the daily gold investment account, gold swap transaction and the position of gold portfolio utilization and outstanding.• Ensure that gold transactions are to be settled on time via SWIFT messages.• Transfer sufficient gold from gold custodian for daily gold transaction.• Prepare gold transaction reports on stipulate time basis.3. To perform validation and checking of corporate, interbank and derivative dealing tickets interfaced from Bloomberg system into the validation system.• Maintain all the details of interbank dealing tickets from source document such as REUTERS, Bloomberg FX trade confirmation, brokers' confirmation, RENTAS confirmation and etc.4. To authorize the payment via SWIFT for daily settlements.• Ensure that settlements messages are successful sent out with correct information such as account number, nostro agent and etc.5. To perform system modification request (SMR) in order to enhance and support system need from time to time.• Come up with test plan for the enhancement of system and carried out user acceptance test (UAT) for the system.6. . To perform Central Bank forex and money market report submission, checking and reconciliation.7. To check daily dealing log report and to ensure all deals in daily dealing report are take into appropriate action.8. Ensure all the mismatched and unmatched SWIFT confirmation messages are promptly attended and expeditiously resolved.9. To perform assigned ad-hoc project such as disaster recovery.10. To post treasury entries and reconcile all entries for Treasury accounting. Show less

    • Standard Chartered Bank

      Sept 2021 - Dec 2022
      Middle Office Senior Analyst (ASEAN) CIBBAU-FMO

      1. Manage query remediation, trade life-cycling and other day-to-day processing for financial market products to ensure timely escalation2. Face of operations to local financial market product head – single point of contact: • Insulate FM from post execution processing / queries, represent operations functions • Build team profile with the front office 3. Local management of FX/FXO/ Treasury Markets Middle Office: • Hubs: Drive global alignment and consistency• Local Market: Standardize where applicable, tailored processes/controls4. Daily bond transaction reporting5. Operations representation for external/internal and regulator scheduled audits:• Ensure Audit points are addressed within timelines6. Drive continuous improvement and innovate: • Partner with Technology to deliver transformation • Work with front office to identify booking model improvements and drive efficiency Show less

    • CIMB

      Dec 2022 - Jun 2024
      Assistant Manager, GO - TO (Treasury Operations)

      1. Responsible for all FX domestic trades validation, reconciliation, confirmation, and daily settlement.2. Compute/process all FX mark to market gain/loss for custodian and corporate clients.3. Ensure FX daily settlement comply with regulatory requirements and bank’s policies and procedures.4. Main contact person for any matters that related to FX domestics products.5. Identify and eliminate non-value-added functions to achieve greater output for existing processes.6. Collaborate with other departments to deliver quality services to our domestics’ client.7. Report submission for FX domestics trades.8. Perform user acceptance test (UAT) for system migration and enhancement related to FX products. Show less

  • Licenses & Certifications

    • Using Python to Interact with the Operating System

      Google
      Oct 2024
      View certificate certificate
    • Crash Course on Python

      Google
      Aug 2024
      View certificate certificate
    • CMI Level 7 Diploma in Strategic Management and Leadership Practice

      Chartered Management Institute
      May 2023
    • Excel/VBA for Creative Problem Solving, Part 2

      Coursera
      Apr 2021
      View certificate certificate
    • Excel/VBA for Creative Problem Solving, Part 3 (Projects)

      Coursera
      Dec 2021
      View certificate certificate
    • Excel/VBA for Creative Problem Solving, Part 1 (with Honors)

      Coursera
      Nov 2020
      View certificate certificate
    • Professional Banker

      Asian Institute of Chartered Bankers
      Apr 2021
    • Databases and SQL for Data Science

      Coursera
      May 2020
      View certificate certificate