Responsibilities:
- Participate and coordinate with various stakeholders in treasury related projects and UAT
- Collaborate with relevant stakeholders in reviewing the financial markets master agreement and regulatory margin related documents
- Assist in monitoring and ensuring the operations of the department fully comply with the Bank's policies and guidelines as well as regulatory requirements
- Assist in process and system enhancement projects
- Conduct post-deal checking control on selling records
- Handle ad hoc tasks/projects as assigned
Requirements:
- Degree holder in Finance, Risk Management or related disciplines
- Holder of ECF-TM certification is preferred
- Minimum 3 years of relevant experience, preferably in business control, market risk management, counterparty credit risk management and treasury related field
- Good knowledge of the banking business and the trade processes of treasury products
- Basic knowledge in FX Global Code, IM/VM requirements and related regulatory and compliance requirements
- Knowledge of Bloomberg, treasury systems (e.g. Murex, Calypso, etc.) and programming skills preferred
- Organized, self-motivated and detail-minded with strong risk control sense and analytical skills
- Good command of written English and Chinese
(Candidates with more experience will be considered as Assistant Vice President)