AVP, Treasury Settlement & Operations Leader

CMB Wing Lung Bank Limited

Hong Kong

On-site

HKD 600,000 - 900,000

Full time

14 days+
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Qualifications

  • Degree holder preferable in Business, Finance, Accounting or related disciplines.
  • Minimum 5 years’ experience in Banking/Financial industry.
  • Knowledge in Treasury & Derivative products.
  • Strong communication, interpersonal and analytical skills.
  • Good leadership and supervisory skills.
  • Practical knowledge of operating risk and compliance policies and procedures.
  • Proficiency in MS Office applications and Chinese word processing skills.
  • Proficiency in both spoken and written English and Chinese.
  • Fluent in Mandarin speaking.

Responsibilities

  • Supervise and manage daily operations for FX and Fixed Income Team.
  • Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards and regulatory requirements in all areas of the team.
  • Support the business to launch the new investment products, services, and distribution channels.
  • Perform daily settlement in all kind of treasury product.
  • Perform support HKTR or other regulatory reporting.
  • Work collaboratively with team to identify the best practices, and contribute the success of the Bank.
  • Manage & monitor the implementation of new systems, launch of products, and departmental & cross-departmental projects in accordance to the business strategies.
  • Timely review & update the operational procedure in accordance to operational risk management standards, service agreement, and regulatory requirements.
  • Identify area of improvement, development and opportunity of the team, and drive productivity & operational excellence.
  • Handle compliant, requests, enquiries from different internal and external clients including internal audit, Compliance, regulatory bodies requests, and etc
  • Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards, regulatory requirements, and service agreement in all areas of the team.
  • Ensuring the operation in compliance with the related statutory and regulatory requirements, service agreement, and internal guidelines
  • Define, implement & monitor SLA of different operational activities
  • Ensure competency across the team of the necessary skills and knowledge to complete all required tasks
  • Responsible for effective supervision and performance of individual and team activities to achieve required productivities and effectiveness
  • Support daily operational activities as assigned by the line manager & resolve any operational issues of the team
  • Perform duty assigned by Division Head

Skills

Treasury & Derivatives
Strong communication
Leadership
MS Office
English & Chinese
Mandarin

Education

Bachelor's degree

Tools

MS Office
Chinese word processing

Job description

Job Summary

  • Supervise and manage daily operations for FX and Fixed Income Team

  • Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards and regulatory requirements in all areas of the team

  • Support the business to launch the new investment products, services, and distribution channels

Responsibilities

  • Perform daily settlement in all kind of treasury product. E.g. FX, Money Market, Bond and Structure Note, FX or Equity Option, IRS and CCS etc….

  • Perform support HKTR or other regulatory reporting

  • Work collaboratively with team to identify the best practices, and contribute the success of the Bank

  • Manage & monitor the implementation of new systems, launch of products, and departmental & cross-departmental projects in accordance to the business strategies

  • Timely review & update the operational procedure in accordance to operational risk management standards, service agreement, and regulatory requirements

  • Identify area of improvement, development and opportunity of the team, and drive productivity & operational excellence

  • Handle compliant, requests, enquiries from different internal and external clients including internal audit, Compliance, regulatory bodies requests, and etc

  • Develop and implement comprehensive operational procedures, and ensure control and compliance with operational risk management standards, regulatory requirements, and service agreement in all areas of the team

  • Ensuring the operation in compliance with the related statutory and regulatory requirements, service agreement, and internal guidelines

  • Define, implement & monitor SLA of different operational activities

  • Ensure competency across the team of the necessary skills and knowledge to complete all required tasks

  • Responsible for effective supervision and performance of individual and team activities to achieve required productivities and effectiveness

  • Support daily operational activities as assigned by the line manager & resolve any operational issues of the team

  • Perform duty assigned by Division Head

Requirements

  • Degree holder preferable in Business, Finance, Accounting or other relevant disciplines

  • Minimum 5 years’ experience in Banking/Financial industry

  • Knowledge in Treasury & Derivative products

  • Strong communication, interpersonal and analytical skills

  • Good leadership and supervisory skills

  • Practical knowledge of operating risk and compliance policies and procedures

  • Proficiency in MS Office applications and Chinese word processing skills

  • Proficiency in both spoken and written English and Chinese

  • Fluent in Mandarin speaking

_______________________________________________________________________________________________________________________________________

## More Job Information
Job Function
  • 銀行
  • 金融服務 - 一般
  • 其他
Location
  • 旺角
Location
  • 油尖旺區
Employment Term
  • 全職
Education
  • 學士
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