VP, Team Head, Equities Operations, Vickers Securities (BB-F4D03)
Found in: Neuvoo HK
Group Technology and Operations (T&O) enables and empowers the bank with an efficient, nimble and resilient infrastructure through a strategic focus on productivity, quality & control, technology, people capability and innovation. In Group T&O, we manage the majority of the Bank's operational processes and inspire to delight our business partners through our multiple banking delivery channels.
Support Wealth Management and Institutional Business of the Bank and oversee payment servicing, loan and deposit processing, treasury administration and relevant support functions/reporting under Wealth Management Operations
Manage payment service including inward and outward remittance for wealth management and institutional business customers. Ensure daily processing/reporting are properly processed within pre-defined cutoff time and timely escalation for irregular cases being detected, if any
Support deposit and loan processing covering drawdown, rollover and rate maintenance. Ensure the completeness and accuracy of daily processing
Manage treasury administration on daily funding management, treasury reporting, limit and exposure monitoring, rate maintenance and financial report
Handling of regulatory reports such as GSIB, HKMA annual return, Granular Data Reporting (GDR), Deposit Protection Scheme (DPS), FATCA and CRS.
Strengthen the risk and control mind set within the team and promote the risk awareness culture
Lead and implement various business initiatives and projects in term of system and processing procedure by considering operation flows, markets, upcoming regulations, controls' requirements
Review and update SOPs regularly in order to ensure compliance with internal and external guidelines/regulations.
People management and development for the team to optimize operations efficiency and resources planning
Timely update of operational risk related metrics and project driven tasks; perform reconciliation of account balance and GL reconciliation
Build good relationships with business partners for all aspects of back-end supports
Diploma holder or above
Knowledge and experience in both local and overseas payment service including CHATS, TT and SWIFT usage
Understanding of loan and deposit products, treasury admin functions and operation of Bloomberg terminal
Regulatory reporting such as GSIB, HKMA, DPS, GDR, FATCA/CRS, FRR computation, etc.
Proficiency in MS Office
Good command of both English and Chinese
We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.
We regret only shortlisted candidates will be notified.