Responsibilities:
Perform investment account opening and maintenance services;
Execute high-quality back-office processing for investment products (e.g., equity, unit trust, notes and bond…) services;
Ensure all transactions are properly authorised before processing and adhere to operational procedures outlined in the Department Operation Manual;
Coordinate trade settlement matters with internal and external stakeholders;
Participate in system testing, upgrades, and migrations for back-office systems;
Provide MIS reports to Team Leader / RMs and liaise with relevant departments to execute transactions;
Answer queries from RMs on transactional activities, operations, systems and provide effective solutions to such queries.
Requirements:
| 薪酬 | 薪金面議 |
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| 僱用形式 |
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| 教育程度 |
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刊登於 5日前