Compliance & Risk Management Team
Responsibilities
Perform routine control function within the department.
Participate in bankwide or departmental control and compliance work.
Provide support in implementation and review of policies and procedures with regards to regulatory and audit requirements.
Treasury Management Team
Responsibilities
Manage liquidity and treasury activities for both domestic and overseas branches, ensuring compliance with global regulatory standards and alignment with centralized treasury strategies.
Liquidity Risk Management: Monitor, assess, and calculate liquidity risk metrics (excluding regulatory reporting), and propose optimization strategies to align with the bank’s risk appetite.
Interest Rate & FX Risk Hedging: Execute hedging transactions for interest rate and foreign exchange risks across the bank in compliance with the ALCO strategies and risk tolerance frameworks.
Intraday Liquidity Monitoring: Track real-time balances of clearing accounts and intraday position fluctuations. Utilize money market instruments (e.g., interbank borrowing, repos, FX swaps) and central bank facilities (e.g., HKMA’s intraday repo and discount window) to ensure settlement safety and liquidity adequacy.
Requirements
Bachelor degree or above in Finance, Accounting, Business Administration or relevant disciplines
With sound knowledge in financial product and global markets business
Proficient in MS application, experience in trading system (Murex, Reuters, Bloomberg) will be a plus
Able to work independently and under pressure, and receptive to changes and challenges
Good command in both written and spoken English and Chinese, fluent in Putonghua is preferred
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刊登於 1日前
刊登於 1日前
刊登於 1日前