Specialist, Securities Trading, Client Centre - Hong Kong, 香港 - Standard Chartered Bank

    Standard Chartered Bank background
    全职
    描述

    RESPONSIBILITIES

    Strategy

  • The position mainly supports the handling of client contacts received through inbound and outbound calls including securities product, other investment products and insurance (if appropriate). It also supports call handling to general banking product.
  • Business

  • Ensure professional, efficient and quality service to clients
  • Execute client's orders and instructions on securities product and insurance product (if appropriate)
  • Handle enquiry to general banking product
  • Ensure efficient problem and complaint resolution
  • Capture client's feedback for internal improvement
  • Conduct outbound calls for ad hoc assignment
  • Meet the required service level and productivity standard
  • Processes

  • Comply with internal guideline and external ordinance
  • People & Talent

  • Acquire product knowledge and service skill by inhouse training and on the job training
  • Ensure all critical functions are suitably skilled and qualified for the roles
  • Risk Management

  • Comply with control requirements to respective job responsibilities
  • To comply with all applicable money laundering prevention procedures and, in particular, report any suspicious activity to our investigation team of bank
  • Comply with all relevant policies and procedures covering regulatory, local and group requirements
  • Governance

  • Awareness and understanding of the regulatory framework, in which the group operates, and the regulatory requirements and expectations relevant to the role
  • Regulatory & Business Conduct

  • Display exemplary conduct and live by the Group's Values and Code of Conduct.
  • Take personal responsibility for embedding the highest standards of ethics, including regulatory and business conduct, across Standard Chartered Bank. This includes understanding and ensuring compliance with, in letter and spirit, all applicable laws, regulations, guidelines and the Group Code of Conduct.
  • Effectively and collaboratively identify, escalate, mitigate and resolve risk, conduct and compliance matters.
  • Lead the Hong Kong / Client Centre / Customer Service / Securities Trading to achieve the outcomes set out in the Bank's Conduct Principles
  • HKMA, SFC, HKFI
  • Exercise authorities delegated by the Board of Directors and act in accordance with Articles of Association (or equivalent)
  • Key Stakeholders

  • Product Team
  • Custody & Operation Team
  • Client Contact Centre
  • Client Experience (CEPG)
  • Branches
  • Other Responsibilities

  • Embed Here for good and Group's brand and values in Hong Kong / Client Centre / Securities Trading; Perform other responsibilities assigned under Group, Country, Business or Functional policies and procedures; Multiple functions (double hats)
  • Our Ideal Candidate

    LICENSES

  • RI registration (HKSI paper 1,7,8 required)
  • TR licensing registration (IIQE 1,2,3), if applicable
  • LANGUAGES - CANTONESE, ENGLISH, MANDARIN
  • Role Specific Technical Competencies

  • General knowledge of securities trading market
  • General knowledge of insurance product (if applicable)
  • General knowledge of general banking product
  • Customer service skill
  • Proficiency in computer usage
  • Working attitude and drive
  • Interpersonal and communication skills