Responsibilities:
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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
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Manage and oversee subordinates, include MM, FX and TMO, to ensure efficient and effective team operations
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Ensure the execution of transactions are complied with HKMA/Regulatory standards, and monitor the completeness and accuracy of the transactions
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Lead and participate in projects relating to Treasury Trading and Settlement, e.g., system enhancement where applicable
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Client relationship management. Capable of handling and developing clients from both Hong Kong and Mainland China.
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Regional Collaboration: Work closely and seamlessly with the Product Heads in the Taipei Trading Room, coordinating across FX, Funding, Bond, and TMU departments to ensure alignment in regional strategies and operational excellence.
Requirements:
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Possess 20 years or above of experience in Treasury with at least 10 years at supervisory role
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Possessing SFC Type 1 and 4 license and unconditional RO status is a must
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Degree holder in Finance, Accounting, Banking or related discipline
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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
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Good command of written and spoken Putonghua, Chinese and English
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Proficient in Bloomberg/ Microsoft Office / PC applications
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Holder of professional certificate under the ECF/ QF/ issued by any industry institutes, professional bodies will be an advantage definitely
