Job Description
Responsibilities:
- Provide day to day middle office operations support to the Private Banking team
- Daily processing and monitoring of treasury position and Liquidity Ratio
- Perform HKMA trade repository reporting and local listed shares trading control
- HKD / RMB payment processing in liaison with service centers
- Local relationship management with correspondent banks
- Maintain close coordination with relevant parties such as traders, RMs, Finance and Back office for operation update and transaction follow up
- Participate in system enhancement and ad-hoc projects related to operations environment, internal control
- Regulatory annual contingency handling
- Handle Private Banking survery and ALCO reporting
Requirements
- University graduate in Business, Accounting or related discipline
- Minimum 5 years of experience in Treasury settlement / Middle office or related areas in banking industry
- Familiar with local settlement system / practices such as SWIFT, RTGS
- Product knowledge on Money Market, Equity and Commodity
- Understanding of trade repository reporting of HKMA (HKTR)
- Familiar with local regulatory requirement
- Proficient in English and Chinese