A reputable international financial institution is inviting applications from experienced professionals to join its Treasury Operations team on a 12‑month contract. The role is suited to individuals with solid experience in treasury settlement who are seeking a dynamic environment and opportunities for further professional development.
Key Responsibilities
- Independently manage the processing and verification of treasury market transaction workflows, including complex clerical and administrative tasks such as credit facility and counterparty ID registration.
- Oversee routine operational duties, including the preparation and authorisation-level checking of payments, confirmation of trade details with counterparties, and accurate posting of account entries.
- Ensure all securities transactions meet stringent Head Office and regulatory compliance requirements; proactively identify discrepancies and recommend corrective actions.
- Provide professional responses to enquiries on treasury product settlement, offering guidance to less experienced colleagues where appropriate.
- Perform ad hoc assignments requiring sound judgement and operational expertise.
Requirements
- HKDSE qualification or above; university degree preferred.
- At least 1 year of relevant experience in treasury market settlement, with a strong understanding of treasury operational processes.
- Practical knowledge of RTGS‑SWIFTNet and SWIFT Alliance systems is essential.
- Strong proficiency in MS Office; experience with VBA, Excel Macros, or Alteryx is a significant advantage.
- Demonstrated ability to manage multiple tasks, work under pressure, and maintain high accuracy.
- Strong team spirit with effective communication and interpersonal skills.
- Proficient command of both English and Chinese.
- Short notice is an advantage