Job Description
Responsibilities:
- Provide treasury support to business teams in strategic planning, product development, management reporting on profit & loss/budget/forecast as well as system enhancement etc;
- Prepare review and analytical reports on the bank’s treasury products and business performance;
- Coordinate with other back office departments including the risk, finance, and compliance functions for treasury related matters;
- Perform the role of Business Money Laundering Prevention Officer and provide AML advisory support to business staff , balancing business needs and Group AML standards;
- Identify the AML risks inherent in the business operations and ensure regulatory compliance;
- Ad hoc projects as required.
Requirements:
- Degree holder in Finance, Accounting or related disciplines with professional accounting qualification;
- Minimum 6 to 8 years relevant experience in banking or accounting areas;
- Good understanding of Treasury operations, risk and accounting;
- Experience in business planning and business support with knowledge of Treasury Code of Conduct and Treasury related regulatory requirements is preferred;
- Good understanding of IT systems relating to Treasury would be an advantage;
- Proficiency in English and Chinese.