Responsibilities :
Execute foreign exchange (FX) transactions and manage daily cash operations, including e-banking transactions and funding position monitoring.
Coordinate with internal teams to ensure adequate daily funding arrangements.
Optimize firm-wide liquidity and capital management strategies.
Execute time deposit transactions to maximize yield.
Ensure compliance with treasury policies, guidelines, and regulatory requirements.
Prepare and submit regular reports to head office and senior management.
Assist in treasury system administration, including maintenance and enhancements.
Handle ad-hoc projects and assignments as required.
Requirements :
Bachelor’s degree in Finance, Accounting, Economics, or a related field.
At least 4 years of relevant experience in financial institutions (securities or banking preferred).
Hands-on experience in treasury operations and financing activities.
Strong multitasking ability with a focus on meeting tight deadlines.
Detail-oriented, proactive, and skilled in task prioritization.
A collaborative team player with strong interpersonal and problem-solving skills.
Proficient in MS Office.
Fluent in English, Cantonese, and Mandarin.
Less experienced candidates may be considered for an Associate role.
Banking & Financial Services>Financial Services
Banking & Financial Services>Investment
Banking & Financial Services>Treasury
Banking & Financial Services>Others
Human Resources>Others
HK$ -
Full Time