Responsibilities
Manage daily operations across margin financing and regular investment plan (RIP) products, including order processing, position monitoring, reconciliation, and exception handling
Oversee recurring RIP subscription orders for HK and US equities, ensuring accurate and timely execution, including FX conversion where applicable
Liaise with prime brokers, custodians, and counterparties on securities lending, borrowing, and settlement matters
Monitor corporate actions (dividends, stock splits, rights issues) and apply necessary adjustments to margin and RIP holdings
Support client onboarding for margin accounts, including credit documentation and limit setup
Collaborate with technology and product teams on system enhancements and new product launches
Prepare daily and monthly operational reports and management dashboards
Contribute to SOP development and ongoing process improvement initiatives
Ensure all operations comply with SFC regulations, internal risk policies, and relevant market rules
Requirements
Bachelor's degree or above in Finance, Business, or a related discipline
Minimum 3 years of experience in securities operations, with exposure to margin financing or investment products preferred
Solid understanding of Hong Kong and US equity market structures and settlement mechanisms (CCASS, DTC)
Experience with regular investment or automated investment products is a strong advantage
SFC licensed (Type 1 or Type 2) candidates are preferred but not mandatory
Detail-oriented with strong reconciliation and problem-solving skills
Fluent in written and spoken English and Chinese (Cantonese and/or Mandarin)
| 薪酬 | 薪金面議 |
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刊登於 4日前