Supervise a team of treasury product settlement, manage the daily operations, develop and implement the work flows, supervise subordinates to complete their daily work, carry out productivity management and ensure businesses to be completed with efficiency, accuracy and in line with compliance
Improve the operations workflow, carry out system enhancement and personnel training to reduce operational risk, improve production efficiency and promote the sustainable development of the team
Coordinate new systems / new product projects involved to support relevant business development
Assist the development and expansion of relevant teams such as FX/MM, bonds, derivatives and investment products / portfolio. Implement relevant operations procedures, put forward system enhancement and staff development for such expansion.
Master new business knowledge and put forward new business ideas to improve work practices in response to market changes
Supervise subordinates to complete assigned tasks according to rules, regulations and the requirements of senior management.
Implement work objectives and constantly improve the quality of the team
Assist the supervisor in the development of work plan and facilitate team development
Formulate and enhance perfection on operations rules and guidelines
Complete the assigned work by supervisor
Participate in activities organized by the bank
Degree or above with major in Finance, Business or Banking or related disciplines
At least 8 years experience in operations related to treasury settlement with 3 years or above in managerial position
Familiar with the formation and characteristics of treasury products transactions, and the operation of the settlement systems involved (treasury products transactions, including FX/MM, bonds, derivatives and investment products / portfolio)
Familiar with the principles, rules, settlement methods and industry practices of treasury market settlement
Familiar with the operations and rules of the major payment systems and financial infrastructure around the globe
Solid knowledge in the legal and compliance requirements, financial infrastructure, accounting, risk management in Treasury Markets Operation. Candidates with knowledge in local, mainland and overseas situations in this field are preferred
Solid knowledge in Finance and Accountancy
Solid knowledge in the operations, rules, regulations of SWIFT, CHATS and the relationship with correspondent banks
Solid knowledge in Computer System Application such as Lotus Notes、MS Word, Excel, Access, PowerPoint etc.
Knowledge of VBS and macro application is an advantage
Experience in system development and testing is preferred
Good interpersonal, communication and management skills
Excellent written and verbal communication skills in both English and Chinese (including Putonghua)