Global Post-Trade Operations Specialist

CICC

Hong Kong

On-site

HKD 300,000 - 540,000

Full time

12 days ago
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Job summary

CICC in Hong Kong is seeking a settlement professional to ensure smooth daily operations within a busy department. You will handle post-trade settlements for equity, fixed income, structured notes, and funds, while ensuring compliance with internal controls and external regulations.

You will reconcile cash and stock across banks and custodians and support system enhancements. The role requires knowledge of major equity market settlement practices, proficiency in MS Office with VBA, and the

Qualifications

  • Degree holder or above.
  • Strong communication in English, Cantonese and Putonghua.
  • Experience in settlement/ post-trade operations is preferred, with 1–2 years in a similar role.

Responsibilities

  • Ensure smooth daily operation of the department.
  • Handle equity, fixed-income, structured notes and fund post-trade settlement and fund processing.
  • Maintain internal controls and comply with external regulations.
  • Perform reconciliation among bank, custodian and in-house records for cash and stock.
  • Participate in ad hoc projects for new products or system enhancements.
  • Liaise with brokers and counterparties on settlement issues.
  • Provide administrative support such as data input and filing.
  • Perform UAT for new projects and systems.
  • Gain experience in a sizable international institution and knowledge of major settlement practices.
  • Understand SWIFT instructions (e.g., MT103, MT54x).
  • Work rotating day/night shifts for US stock operations.

Skills

Communication skills (English, Putongh
Time management
Team player
Problem solving

Education

Bachelor degree or above

Tools

MS Office
MS Office VBA

Job description

CICC in Hong Kong is seeking a settlement professional to ensure smooth daily operations within a busy department. You will handle post-trade settlements for equity, fixed income, structured notes, and funds, while ensuring compliance with internal controls and external regulations.

You will reconcile cash and stock across banks and custodians and support system enhancements. The role requires knowledge of major equity market settlement practices, proficiency in MS Office with VBA, and the

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