Responsibilities:
- Trading and Managing the complete process of operations and settlements for interbank Foreign Exchange (FX), Fixed Income and Money Market (MM) transactions, along with related support, administration, and reporting tasks
- Manage and oversee subordinates, include MM, FX and TMO, to ensure efficient and effective team operations
- Ensure the execution of transactions are complied with HKMA/Regulatory standards, and monitor the completeness and accuracy of the transactions
- Lead and participate in projects relating to Treasury Trading and Settlement, e.g., system enhancement where applicable
Requirement:
- Possess 15 years or above of experience in Treasury with at least 10 years at supervisory role
- Possessing SFC Type 1 and 4 license and unconditional RO status is a must
- Degree holder in Finance, Accounting, Banking or related discipline
- Sound knowledge of treasury products (e.g. FX, MM, Fixed Income, Structured Products/Derivatives) as well as the market best practice and familiar with the Settlement & Confirmation process of Treasury Products including experience in SWIFT, RTGS, Euroclear, Clearstream and CMU
- Good command of written and spoken Putonghua, Chinese and English
- Proficient in Bloomberg/ Microsoft Office / PC applications
- Holder of professional certificate under the ECF/ QF/ issued by any industry institutes, professional bodies will be an advantage definitely
*The personal data of unsuccessful job applicants may be retained for a maximum of two years from the date when the job application is rejected.