Accountabilities:
- Execute daily settlement and operations relating to FX, Money Markets, Financial Futures and Derivative i.e. IRS, CCS, Exotic options.
- Handle the daily operation in relation to CCP clearing.
- Construct CHATS/ SWIFT Payments.
- Assist in automation of some manual work processes and participate in projects that support the business initiatives of business units.
- Provide operational support in regards to servicing internal & external trading counterpart.
- Provide back up to other colleagues.
Requirements:
- Secondary education or above is preferred.
- Minimum 2 years’ working experience with experience in Treasury Settlement is preferred.
- In-depth knowledge of the best banking practices in various banking products.
- Good understanding of Treasury Products especially fixed income product, Physical commodities, IRS, FX & MM.
- Experience in Central Clearing processing and HKTR reporting.
- Good command of both written and spoken English and Cantonese.
For more details about career opportunities with the Bank, please visit our Career website at: https://cncbinternational.wd3.myworkdayjobs.com/en-US/CNCBIExternalCareerSite/jobs.
Personal data collected will be used for recruitment related purposes only. Applicants not invited for interview within 6 weeks may consider their applications unsuccessful. However, applicants may be considered for other suitable positions within the Group for a period of not more than 2 years. Personal data will be destroyed at any time after 3 months.
China CITIC Bank International is committed to being an equal opportunities employer and intends to provide a work environment free of unlawful discrimination or harassment. All employment decisions will be made in a non-discriminatory manner.