
business development officer, international business department
6 days ago
Be #InGoodHands with Metrobank
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Job Summary:
- Manages and monitors the over-all performance of his assigned area, in terms of business development, meeting volume and value targets, attaining income budget set for the year.
Role Exposure:
Prepares the necessary materials/inputs in the design and formulation of the unit's business plans, including any budgetary requirements in coordination with the Business Development Head
Identifies prospective clients and conduct calls on remittance companies, exchange houses, recruitment/employment agencies, shipping agencies and directly market the Bank's remittance products and related services.
Sends out Daily FX rates to overseas offices and remittance correspondents. This shall include managing the FX spread per area of assignment.
Works in close coordination with the Business Development Head for the preparation of the periodic evaluation of the performance of remittance correspondents / marketing officers vis-à-vis targets set for the given period, its historical performance, including budget commitments/revisions and the corresponding assumptions and justifications.
Monitors, reviews and provides on a regular basis the appropriate pricing strategy that ensures profitability and long-term competitiveness.
Regularly meets with industry and government contacts to obtain feedback, market information, and maintain favorable relationships.
Performs other related functions that may be assigned from time to time.
Qualifications:
- 2–4 years in banking, fintech, or remittance-related roles
- Exposure to international remittance operations or cross-border payments
- Experience in customer service, FX trading, and data-driven reporting
- Background in business development, financial analysis, or operations
Analytical Thinking & Attention to Detail
- Strong ability to interpret financial data and spot trends, variances, and anomalies
- Maintains accuracy in reporting, documentation, and partner performance tracking
Detail-oriented in managing regulatory tagging and audit-ready records
Data Analysis & Visualization
- Proficient in Excel (pivot tables, formulas, charts)
- Experience with BI tools (e.g., Power BI, Tableau)
- Capable of synthesizing data into actionable insights
- Financial Operations & FX Trading
- Familiarity with remittance systems and FX trading workflows
- Experience with BPM processes (PDDTS, RTGS, MT103)
Understands the impact of FX movements on remittance flows
Customer Service
- Prior experience in customer-facing roles, preferably in banking or financial services
Handles partner inquiries and operational issues with professionalism and urgency
Reporting & Documentation
- Skilled in preparing monthly scorecards and dashboards
- Maintains organized, audit-ready documentation
Supports internal controls and compliance reviews
Stakeholder & Partner Coordination
- Coordinates with internal teams (e.g., Treasury, Compliance, Marketing)
Tracks partner performance and supports marketing budget liquidation
Multitasking & Time Management
- Manages multiple priorities across operations, reporting, and partner coordination
- Works efficiently under pressure and meets tight deadlines
Other Details:
Rank: Junior Officer
Unit: International Offices & Subsidiaries Group
Location: Metrobank Center BGC
Work Set-up: Monday to Friday, Onsite
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