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Treasury & FX Operations AVP, European Bank (BB-80062)

Found in: Neuvoo HK

Description:

Treasury & FX Operations AVP, European Bank

  • Global Capital Market CIBM
  • Expansion AP Treasury Operations Headcount
  • Excellent work life balance & bank benefits

Our Client

Representing a successful European international corporate and investment bank offering full range of wholesale banking, M&A and treasury services to invite a well experienced Treasury & FX Operations AVP to join the regional processing hub in HK!

Job Duties

  • Report to Regional Head of Operations APAC
  • Responsible for managing the end to end trade life cycle from reconciliation, confirmation, settlement and ensuring timely transaction processing of Treasury, Rates and FX products across AP Region
  • Assume the key project coordinator to drive process improvement and ensure achievements of regulatory risk control/operational efficiency by working closely with front office sales trader & bank treasury, IT and compliance departments

Requirements

  • Degree holder with 8 years+ of Operations/Middle Office and Project Management experience earned from int’l corporate and investment banks
  • Proven project management experience and track record to drive changes
  • Solid Regional Operations experience
  • Adaptive to working in a multicultural international environment
  • Good understanding of treasury, FX, rates and derivatives products
  • Leading Treasury / Capital Market Banking Group
  • Regional Coverage including HK, PRC, SGP and JAP
  • Multinational culture and guaranteed job security
Job Duties
  • Nostro/cash accounts reconciliation and discrepancy investigation
  • Responsible for regional trade processing/settlement in a timely manner
  • Extensively liasion with internal stakeholders across Asia Front Office, Risk, Trade Control Operations and Finance departments
  • Expansion AP Treasury Operations/MO Headcount
  • Manage Trade Life Cycle & Trade Confirmation
Job Duties
  • Report to Regional Head of Operations APAC and manage the small team on daily operations and trade confirmation issues
  • Responsible for managing the end to end trade life cycle from reconciliation, confirmation, settlement and ensuring timely transaction processing of Treasury, Rates and FX/MM products across AP Region
  • Assume the key project coordinator to drive process improvement and ensure achievements of regulatory risk control/operational efficiency by working closely with front office sales trader & bank treasury, IT and compliance departments
  • Ensure timely and accurate processing of Securities trades in relations to private banking business activities.
  • Conduct daily trade booking, trade matching and reconciliation, post-trade events monitoring especially for Structured Products and Derivative products
  • Assume middle office function to tackle clients’ enquiries and resolve any transaction related issues by communication with custodians, counterparties and back office operations division
  • Responsible for the timely processing of daily inward/outward remittances and payment transactions
  • Resolve clients’ enquiries on operations related issues through liaison with related Front to Back office team
  • Proactively assist to investigate any abnormality in operations
  • Responsible for the timely processing of all payment transactions
  • Proactively assist to investigate and resolve clients’ enquiries on operations related issues through liaison with related Front to Back office team and counterparties
  • Ensure all transactions are in compliance with HKMA regulatory requirement and internal guidelines

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