Responsibilities:
- To support day to day operations on Investment Operations
- Documentation follow-up and filing
- Accounting & GSL entries posting
- A/C reconcilement & investigation for discrepancies
- Product Code setup & maintenance in system
- Handle billing / refund process on premium
- Commission/Income account accrual & reconciliation
- Liaise between branches & counterparties
- Answer phone inquiries from branches, other sales channels or counterparties
- MIS reporting
- Support system testing related to Insurance Products
- Identify any irregular activities or potential risk and report to Investment Operations Manager
Requirements:
- Experience in providing operations support in banking or financial industry.
- Proficiency in Microsoft Office (i.e. Word, Excel).
- Good command of both spoken and written English & Chinese.
- Willing to learn various banking process.
Interested parties please send your full resume by email.