Published 1 year ago

Treasury Settlement, Foreign Corporate Bank

Interfill Group

Job Description

Responsibilities:

  • Responsible for processing and authorizing Treasury Back Office products, including FXMM, Fund Transfer etc
  • Ensure compliance with the Bank's internal policies and applicable SOPs
  • Implement and maintain robust risk and control measures
  • Assist in handling Remittances and Export LC products
  • Manage EDMS scanning and filing
  • Work closely with the Treasury Front Desk for quick resolution of customer inquiries

Requirements:

  • Proven experience in treasury settlement within the banking or financial services industry, preferrable with at least 5 years of experience.
  • Great attitude and a good team player
  • Excellent analytical and problem-solving skills.
  • Effective communication and interpersonal skills to collaborate with internal stakeholders.
  • Ability to work independently and prioritize tasks to meet deadlines.

Interested candidates please apply now. You may contact cody.ko@interfillgroup.com to engage in a confidential discussion.

Job Particulars

Job source
eFinancialCareers
Job reference
20920735
Date published
15 Apr 2024
Job keywords
FX & Money Markets, Other, Corporate Banking, Trade Finance
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