Execute end-to-end settlement of treasury operations, ensure smooth, efficient, and accurate settlement of all trades across bonds, REPO, FX, money market products etc.
Manage daily interbank settlement, trade booking and associated support functions
Liaise with internal departments and external parties (e.g. HKICL, CMU) to ensure effective coordination, control and governance on daily operations
Review, develop and streamline the daily operational procedures and workflows of payment operations to attain quality service enhancement and efficiency improvement
Manage various management reports, conduct evaluation and provide timely and accurate tracking on KPIs/SLAs
Lead ad-hoc projects/ UAT for meeting business needs and ensures that project/department milestones/goals are met
Requirements:
Bachelor’s degree in Business Administration, Finance, or a related fields.
Minimum 8 years experience in banking/ payment operations with 3 years in managerial level
Strong knowledge of treasury products, including fixed income, bonds, REPO, FX, money market products etc.
Sounds knowledge in eMBT/eCMT/SWIFT/RTGS
Good command of written and spoken English and Chinese; fluency in Putonghua is a plus.
Excellent negotiation, project management, interpersonal and communication skills
Highly organized, self-motivated and capable to work under pressure
Strong problem-solving abilities and a sense of responsibility.