APAC Post-Trade Governance & Settlement Lead

G MASS

Hong Kong

On-site

HKD 1,000,000 - 1,200,000

Full time

13 days ago
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Job summary

G MASS is seeking a Governance and Oversight Lead to support offshore cash equities settlements for a leading global investment banking client. You will drive post-trade governance, oversee settlements across APAC markets, and supervise offshore teams to close control gaps and improve client experience.

You will also manage daily BAU in asset servicing, payments, client asset segregation and bank reconciliations, emphasizing process efficiency, risk mitigation and automation driven by post-trade

Qualifications

  • 5+ years in financial services, with cash equities or custody operations.
  • Automation or analytics improvements experience is beneficial.
  • Fluent in English and Cantonese.

Responsibilities

  • Produce and review daily KRIs and build a framework for post-trade data analysis.
  • Act as main contact for stakeholders, regulators, auditors, and service providers.
  • Partner with offshore teams to build a supervisory framework to catch risks early.
  • Review BAU processes to identify gaps and propose improvements in efficiency and controls.
  • Oversee cash equities settlement across APAC markets and resolve discrepancies.
  • Collaborate on reconciliations, payments, settlements, reporting and financial analysis.
  • Participate in ad-hoc projects and broader process improvements.
  • Handle asset servicing tasks arising from failed trades and non-standard settlements.

Skills

Governance
Oversight
Data analytics
Automation
Python
Alteryx
Asset servicing
Cash equities
Stakeholder management
Attention to detail

Tools

Excel
Outlook
Word
Alteryx

Job description

G MASS is seeking a Governance and Oversight Lead to support offshore cash equities settlements for a leading global investment banking client. You will drive post-trade governance, oversee settlements across APAC markets, and supervise offshore teams to close control gaps and improve client experience.

You will also manage daily BAU in asset servicing, payments, client asset segregation and bank reconciliations, emphasizing process efficiency, risk mitigation and automation driven by post-trade

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