Responsibilities:
- Conduct daily cash reconciliation between CCASS/registrar systems and internal records to ensure accuracy.
- Carry out nominee functions for securities custody and corporate event services, including share offerings, rights issues, bonus issues, dividend elections, and other distributions.
- Manage IPO applications, allocation of shares, and processing of refunds.
- Oversee securities settlement processes with counterparties.
- Draft notification letters for voluntary events, including Scheme of Arrangement, Privatization, Redemption Offer, Preferential Offer, Compulsory Acquisition, Clawback Offer, Cancellation of Listing, and others.
- Support the Team Lead in supervising daily operations, ensuring all tasks are completed within deadlines.
- Engage in testing for system enhancements.
- Maintain and update operational policies, procedures, and SOPs in line with regulatory and business changes.
- Supervise the review and improvement of internal operational procedures for both new and existing business functions.
- Liaise with internal teams and external parties to resolve settlement-related issues promptly.
Requirements:
- Bachelor’s degree or higher in Finance, Business, or a related discipline.
- 2-3 years of experience in securities settlement operations, preferably within a brokerage, bank, or wealth management firm.
- Proactive, responsible, and capable of working independently.
- Candidates with less experience will be considered for junior positions.
- Excellent command of English and Chinese (Cantonese & Mandarin), both written and spoken.