Job Summary
Supervise and manage daily operations for FX and Fixed Income Team
Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards and regulatory requirements in all areas of the team
Support the business to launch the new investment products, services, and distribution channels
Responsibilities
Perform daily settlement in all kind of treasury product. E.g. FX, Money Market, Bond and Structure Note, FX or Equity Option, IRS and CCS etc….
Perform support HKTR or other regulatory reporting
Work collaboratively with team to identify the best practices, and contribute the success of the Bank
Manage & monitor the implementation of new systems, launch of products, and departmental & cross-departmental projects in accordance to the business strategies
Timely review & update the operational procedure in accordance to operational risk management standards, service agreement, and regulatory requirements
Identify area of improvement, development and opportunity of the team, and drive productivity & operational excellence
Handle compliant, requests, enquiries from different internal and external clients including internal audit, Compliance, regulatory bodies requests, and etc
Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards, regulatory requirements, and service agreement in all areas of the team
Ensuring the operation in compliance with the related statutory and regulatory requirements, service agreement, and internal guidelines
Define, implement & monitor SLA of different operational activities
Ensure competency across the team of the necessary skills and knowledge to complete all required tasks
Responsible for effective supervision and performance of individual and team activities to achieve required productivities and effectiveness
Support daily operational activities as assigned by the line manager & resolve any operational issues of the team
Perform duty assigned by Division Head
Requirements
Degree holder preferable in Business, Finance, Accounting or other relevant disciplines
Minimum 5 years’ experience in Banking/Financial industry
Knowledge in Treasury & Derivative products
Strong communication, interpersonal and analytical skills
Good leadership and supervisory skills
Practical knowledge of operating risk and compliance policies and procedures
Proficiency in MS Office applications and Chinese word processing skills
Proficiency in both spoken and written English and Chinese
Fluent in Mandarin speaking
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