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Job Title: Vice President, Treasury Settlement
Ref.#: 80802
Location: HongKong
Remuneration:
-
Company Description:
Manage and supervise the daily trade processing, confirmation and settlement of treasury transactions with adequate control within Treasury Settlement team; ensure the compliance with relevant regulatory/ compliance requirements; support system, procedure enhancement projects to achieve process improvements and operational excellence in accordance with organizational objectives.
 
Requirements and Application Details:
 
    Responsibilities:


    Oversee and manage the day-to-day operations for back-office processing, life-cycle events and settlements of securities and derivative transactions as well as provide back-up support for FX & MM if necessary
    Ensure the completeness and correctness of the back-office operations are comply with HKMA, Regulatory and internal standards
    Liaise with various internal / external stakeholders / partners for the launch of new products / new business; resolving any operational, settlement and system issues
    Supervise and manage SWIFT payments, Euroclear / Clearstream and CMU instructions
    Conduct and prepare management reports, regulatory and compliance reports for Treasury related business to fulfill regulatory and compliance requirements.
    Lead/participate in various projects relating to Treasury Settlement, provide user requirements, and conduct UAT
    Undertake any other ad hoc projects if necessary
    Provide training on new workflows and procedures to team members for new products / business as well as new system functionalities
    Handle the implementation of new and revised procedures, systems to drive process improvement and operational efficiency
    Establish and implement proper internal controls and procedures for managing operational risks; and prepare operational risks control reports for management review
    Keep abreast of market and regulatory changes and ensure staff are aware of those changes. Lead and drive system changes / enhancement to accommodate such changes if necessary
    Formulate and review operational policies & procedures, ensure enforcement and adherence to the bankˇs guidelines and regulatory requirement

    Requirements:


    Degree holder or above
    Minimum 10 years relevant working experience of which at least 5 years at supervisory / managerial level
    with strong knowledge product knowledge in Fixed Incomes and Derivative of FX, Interest Rates, & Equity
    Knowledgeable of market best practice and familiar with the Settlement & Confirmation process of Treasury Products and OTC Derivatives, including experience in SWIFT, RTGS, Euroclear / Clearstream, and CMU
    Familiar with ISDA definitions and ISDA confirmations framework, HKTR Trade Reporting, Central Clearing, and other regulatory and compliance requirements for Treasury business
    Lead, drive and deliver projects relating to Settlements, Confirmations and Regulatory requirements for Treasury Products and OTC Derivative.
    Good leadership, communication & interpersonal skills
    Familiar with MS Office application including Words & Excel
    Good command of English, Chinese; Mandarin is a must

    Interested parties please send your CV in MS Word format with current and expected salary to [email protected] and/or [email protected] and copy to [email protected]
 
Remark Field:
 
Publish Date: 2018-08-08