My client, a reputable local bank, seeks several experienced managers to cover key operations in payment, FX and derivatives, to cope with the expansion and transformation initiatives. Ideal candidates should have the below qualities.
Requirements:
For Derivatives-related role
- Product Knowledge: Strong knowledge of Equity Derivatives, Structured Products, Linked
Deposits, and general Treasury products (FX/MM). - Operational Flow: In-depth understanding of the settlement process, including payments,
confirmations, and accounting booking. - Regulatory Knowledge: Familiarity with regulatory reporting requirements (e.g., HKEX) and
financial reporting standards. - Technical Skills: Proficient in Microsoft Excel (specifically Macros) and knowledge on EQD
settlement systems is a plus . DCS . FinIQ , CSA , TriOpitma , MarkitServ , LDS , Acadia
relevant application etc.
For Treasury Operation-related role
- Product Knowledge: In-depth understanding of Treasury transactions and operations flow
- (Foreign Exchange / Money Market / Debt Securities).
- System Knowledge: Proficiency in Treasury settlement systems (e.g., SAA, RTGS, CLS,
- TMS, TMR , Calypso, Murex ).
- Regulatory Reporting Knowledge: HKTR reporting, EMIR reporting etc
- Accounting: Strong knowledge of accounting principles and General Ledger reconciliation.
- Computer Skills: Advanced knowledge of Excel (specifically Macros and Pivot Tables).
Please note that only shortlisted candidates will be notified. All information gathered will be treated in strict confidentiality and solely used for recruitment purpose.