Our client is a well-organised regional bank with solid business volume in Hong Kong, which offers a wide range of banking services to corporate, institutional, and municipal clients. The business is now looking for a new member to join their treasury operations team, who will play a key focused on treasury daily operations and engage in system enhancement projects. Job Responsibilities: - Responsible for treasury daily operations processing and ensure all transactions are well executed. - Engage in monitor settlement risk and operations risk according to the bank's internal guidelines and regulators. - Prepare relevant reports to management level and regulatory institutions. - Participate in various projects to help the firm streamline the operation process. To succeed in this operations role, you should have minimum 2 years treasury operations experience and willing to involved in the system enhancement projects. Other requirements - Bachelor's degree with a preferable on Business, Finance, Economics, or other related professional qualifications. - At least 2 years' treasury operations experience in banking or financial services industry. - Sound knowledge in treasury products includes FXMM, securities, bonds, etc. - Familiar with SWIFT, CHATS, CMU, and securities clearing system. - Fluent English and Chinese with good communication skills. Our client offers competitive compensation, benefits packages, promotion zone and stable working environment. How to Apply: For all interested parties, please contact and send your CV to Hester Chen at
[email protected] for more details. For other available opportunities, please visit www.connectedgroup.com