Responsibilities
- Execute and monitor settlement activities, which may include securities, derivatives, foreign exchange, or other asset class
- Facilitate payment processing, including domestic and international payments, currency report and fx analysis
- Support treasury-related activities, including cash management, liquidity management, and collateral management.
- Assist in managing treasury-related documentation, such as confirmations, collateral agreements, and reporting.
- Monitor operational risks and implement appropriate controls
- Identify areas for process improvements and automation to enhance efficiency, reduce errors, and strengthen risk management practices.
- Stay updated with regulatory changes
- Build and maintain effective relationships with internal stakeholders
Requirements
- Bachelor's degree in finance, business administration
- 1 year experience junior candidates
- Strong time management skills and problem-solving skills to investigate & resolve discrepancies
- Attention to detail and ability to work accurately in a fast-paced environment
- Ability to work both independently and collaboratively within a team
- Strong communication skill in both written and spoken language
- Being Immediately available is a plus
Application
If this above description fits your experience and is something you would like to explore, please click 'Apply Now' to submit your resume to us.
Our specialist consultant will get in touch with you soon, if we find your profile suitable for this position or any other vacancies we are recruiting for.
Any questions, please feel free to contact Hilda Cheng at 3907 3979
