Overview:
We are assisting our corporate bank client in their search for a Manager in the Treasury Settlement team, focusing primarily on foreign exchange (FX) and money market (MM) operations. This pivotal role reports to the team head and oversees a team of 10 professionals.
Key Responsibilities:
- Oversee the daily settlement processes for FX and money market transactions, ensuring accuracy and compliance with regulatory requirements.
- Supervise and mentor a team of treasury settlement staff, ensuring high performance and adherence to operational standards.
- Identify and implement process enhancements to optimize efficiency and mitigate risks within treasury operations.
- Prepare and present regular reports on settlement activities, transaction volumes, and team performance to senior management.
- Work closely with various internal departments, including risk management, compliance, and finance, to support seamless operations.
- Provide training and support to team members, fostering a culture of continuous improvement and professional growth.
Requirements:
- Bachelor's Degree in Finance, Accounting, Banking, or a related discipline.
- 5 years of experience in treasury settlement and operations, with a strong understanding of FX and money market products.
- Proven supervisory experience, demonstrating leadership and team management skills.
- Strong analytical and problem-solving abilities, with attention to detail.
- Excellent communication and interpersonal skills to engage effectively with stakeholders.
If you are an experienced treasury professional looking to take the next step in your career and make a significant impact within a leading corporate bank, please submit your CV to Raymond Cheung for consideration. We look forward to hearing from you!