Responsibilities: 1. Bank Account & KYC Management . Manage bank account opening, maintenance, and closure across multiple entities. . Act as a key liaison with banks on KYC matters, including onboarding, periodic reviews, remediation requests and FATCA/CRS compliance. . Prepare and coordinate KYC documentation. . Maintain KYC records and follow up on outstanding requests. 2. Entity Documentation & Governance . Maintain a central repository of entity documents, including board resolutions, signatory lists, and corporate updates. . Ensure consistency between internal records and bank requirements. . Coordinate updates with banks arising from changes in directors, authorised signatories, etc. 3. Treasury & Finance Operations . Support daily treasury operations including payments, cash positioning, and reconciliations. . Monitor cash balances across entities to support funding and liquidity needs. . Assist in month-end close, cash reporting, and audit requests. 4. Controls & Compliance . ...