Job Responsiblities :
Perform data input for trade capture and settlement
Monitor trade settlement status and follow up with clients for outstanding settlement
Process CHATS/ TT payment instructions
Perform daily reconciliation on securities holding/ internal posting bridge accounts
Prepare daily/ monthly reports to clients
Respond to client’s enquiries on trade status
Work on tasks and projects assigned by Team Head
Job Requirements:
University graduated in Business/Economics/Finance or relevant disciplines
Experience in securities settlement or banking operations is a preferable
Good command of written and spoken English and Chinese including Putonghua
Good interpersonal and communication skills