Overview
Our client, a prestigious international bank, is looking for a Team Head in the Treasury Operations team.
Responsibilities
- Lead and supervise a team (around 10 staff) to provide treasury operations, including money market, FX, Securities, Bonds, FRCD issuance, etc. and ensure all transactions are executed
- Monitor settlement risk and handle irregular transactions according to the Bank’s policies and guidelines
- Prepare and compile various reports for management, Head Office and regulatory bodies
- Review and update policies & procedure manual to ensure the Bank’s working procedures are in compliance with the regulator
- Liaise with other branches and departments as well as internal and external stakeholders in settling various transactions
- Handle ad hoc duties and projects as assigned
Requirements
- Degree holder major in Banking, Business, Finance or related disciplines
- Minimum 10 years’ experience in treasury market operations with 3-5 years in managerial position
- Sound knowledge in treasury market products, securities clearing system, SWIFT, CHATS and CMU systems
- Familiar with banking operations, global settlement practices and regulatory requirements
- A team player with strong leadership, coaching, management and interpersonal skills
- Good command of both English and Chinese
- Proficient in MS Office applications
Personal data collected will be used for employment-related purposes only. We regret to inform that only shortlisted candidates will be notified.