about the company.
Our client is a well-established international commercial bank with a growing presence in Hong Kong. Renowned for its comprehensive financial services and strong corporate culture, the institution provides an exceptional platform for professional development and exposure to complex treasury products.
about the team.You will join a dynamic and highly collaborative Treasury Operations team. The environment is supportive, structured, and focused on high operational efficiency, continuous process improvement, and strict adherence to regulatory standards set by local authorities.
... about the job.
- Manage end-to-end daily settlement operations for foreign exchange (FX), money markets, fixed income, and derivative products.
- Oversee and verify incoming and outgoing settlement payments and receipts accurately and within designated market deadlines.
- Collaborate closely with internal stakeholders, including front-office traders, risk management, and IT teams.
- Participate actively in system enhancement projects, operational process improvements, and ad-hoc duties as assigned by supervisors.
- Ensure strict compliance with internal control policies and HKMA regulatory standards.
skills & experiences required.
- Bachelor degree holder or above in Finance, Banking, Economics, or a related discipline.
- Minimum 2 years of settlement experience within the banking industry.
- Solid knowledge of treasury products, with specific hands-on expertise in fixed income and derivatives.
- Proficient with industry settlement systems, including RTGS, SWIFT, XACT, and CCASS.
- Advanced skills in MS Office applications, particularly Microsoft Excel.
- Strong interpersonal, communication, and time-management skills with a detail-oriented mindset.
- Fluent command of written and spoken English and Chinese, with strong proficiency in Mandarin.