Responsibilities:
- Conduct money market instruments, including interbank lending/borrowing, certificate of deposit, FX swaps and Repo to manage daily liquidity and cash flow of the Bank
- Manage liquidity and interest rate risk for the Bank and to ensure all key risk indicators are in compliance with internal limits and fulfill regulatory requirements
- Collaborate with relevant business units on funding needs/uses, clients’ remittance and trading settlement in order to facilitate efficient transaction processes
- Assist to execute on ALM strategies and maintain FTP measures
- Participate in ad hoc assignments and prepare monthly reporting to the senior management
Ideal candidates are expected to possess:
- Degree holder in Finance, Economic, Business or relevant disciplines preferred
- At least 1 year’s relevant experience in money market
- Sound product knowledge and understanding of relevant derivatives regulatory framework
- Holder of HKSFC Type 1 license
- Able to work under pressure
- Good analytical skills
- Proficient in written and spoken English and Chinese (Mandarin and Cantonese)