Job Description
Responsibilities
- Handle daily processing of capital markets transactions
- Support validation of trades and settlement
- Follow up on unusual booking and reconciliation discrepancies
- Handle client enquiries on post trade/settlement issues
- Ensure timely processing of transactions in compliance with established policies, procedures and controls
- Coordinate with business and supporting departments on improving workflow processing of capital markets products
- Assist in ad hoc projects/initiatives as assigned
Requirements
- Degree holder with minimum 3 years experience in capital markets products processing
- Good understanding of financial instruments and treasury-related regulatory requirements
- Able to work under pressure and meet tight timelines
- Independent, self-motivated and detail-oriented
- Proficient in English and Chinese
- Immediate available