Treasury & Liquidity Operations Specialist

Shenwan Hongyuan (International) Holdings Limited

Hong Kong

On-site

HKD 420,000 - 660,000

Full time

14 days+
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Job summary

Shenwan Hongyuan (International) Holdings Limited in Hong Kong is seeking a treasury professional to develop financing channels, manage liquidity, and prepare routine fund reports. You will lead daily cash management tasks, monitor financing ledgers, and ensure timely reporting to shareholders and external regulators.

The role requires a finance/economics/statistics background with at least 3 years in a financial institution's treasury, and strong Excel/Word/PowerPoint skills, plus fluency in

Qualifications

  • Degree in Finance, Economics, Statistics, or related disciplines.
  • At least 3 years of treasury experience in a financial institution.
  • Proficient in Excel, Word and PowerPoint; fluent in English and Chinese.
  • Candidates should be responsible, honest, reliable and quick learner.

Responsibilities

  • Develop and maintain financing channels and cooperate with banks' due diligence.
  • Advance bank financing approval processes and maintain relationships with financial institutions.
  • Perform daily liquidity management, fund allocation, and cash management.
  • Prepare and update routine reports such as deposit concentration monitoring tables and financing ledgers.
  • Coordinate with headquarters and other departments to report fund-related materials to shareholders and regulators.
  • Complete other tasks within the team.

Skills

Treasury experience
Cash management
Financial reporting
Bank coordination

Education

Bachelor's degree in Finance/Economics/Statistics or related

Tools

Excel
PowerPoint
Word

Job description

Shenwan Hongyuan (International) Holdings Limited in Hong Kong is seeking a treasury professional to develop financing channels, manage liquidity, and prepare routine fund reports. You will lead daily cash management tasks, monitor financing ledgers, and ensure timely reporting to shareholders and external regulators.

The role requires a finance/economics/statistics background with at least 3 years in a financial institution's treasury, and strong Excel/Word/PowerPoint skills, plus fluency in

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