VP, Global Markets Trade Support & Operations

GF Securities (Hong Kong)

Hong Kong

On-site

HKD 420,000 - 660,000

Full time

14 days+
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Job summary

GF Securities (Hong Kong) is seeking a Trade Support professional to manage the post-trade lifecycle across FICC and Equity Derivatives. You will be a key liaison between the trading desk, brokers, custodians, and internal teams to ensure trade accuracy, timely settlement, and risk mitigation.

Responsibilities include trade capture in booking systems, trade affirmation, settlement coordination, monitoring corporate actions and derivative events, daily reconciliations, and ad-hoc process

Qualifications

  • Bachelor's degree in IT/Finance/Economics or related field.
  • Experience in Trade Support/Middle Office/Settlements is required.
  • Proficiency with Excel and Bloomberg preferred.
  • Strong communication skills in English and Chinese.
  • Experience using AI to streamline processes is a plus.

Responsibilities

  • Accurately capture and validate trades in booking systems post-execution.
  • Manage trade affirmation/confirmation with custodians and prime brokers.
  • Coordinate timely settlement and resolve trade failures.
  • Monitor corporate actions and derivative lifecycle events.
  • Perform daily reconciliations between internal systems and counterparty statements.
  • Assist with margin calculations for cleared and bilateral OTC derivatives.
  • Support HKTR reporting and post-trade processing.
  • Provide real-time desk support and drive process improvements.

Skills

Trade support
Middle Office
Attention to detail
Communication
English & Chinese

Education

Bachelor's degree in IT/Finance/Economics

Tools

Bloomberg
Excel
Python
SQL

Job description

GF Securities (Hong Kong) is seeking a Trade Support professional to manage the post-trade lifecycle across FICC and Equity Derivatives. You will be a key liaison between the trading desk, brokers, custodians, and internal teams to ensure trade accuracy, timely settlement, and risk mitigation.

Responsibilities include trade capture in booking systems, trade affirmation, settlement coordination, monitoring corporate actions and derivative events, daily reconciliations, and ad-hoc process

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