Job Responsibilities
Manage daily cash and bank deposit receipts, payments, reconciliations and custody.
Handle bank account opening, closing, remittances and foreign exchange settlement.
Manage transactions with foreign banks, with solid hands-on experience in account opening.
Prepare daily capital reports and organize and file original vouchers.
Job Requirements
Must have banking experience (counter, operations or international settlement role).
Familiar with foreign bank account opening procedures and proven track record of successful account openings.
Meticulous, responsible and rigorous.
Able to work a 6-day work week.
Contact mail: [email protected]
Banking & Financial Services>Dealing & Trading / Securities
Banking & Financial Services>Financial Services
Banking & Financial Services>Others
HK$ -
Full Time