4 周前发布

Operations - Associate - Margin Financing Risk Management

ICBC International Holdings Limited

职位描述

ICBC International Holdings Limited (“ICBC International”) is a wholly-owned subsidiary of ICBC in Hong Kong. As a Hong Kong incorporated and based company, ICBC International leverages the premier brand, strong capital base, extensive clients' base and advanced financial products. It is exposed to capital markets and provides financing clients with services in four product lines; corporate financing, investment business, sales & trading and asset management. ICBC International also offers market research services covering global macro economy, international financial markets, environmental protection, medical care and other hot industries.

Responsibilities:

          • Assist risk/product/trading divisions in enhancing collateral risk management frameworks, clarifying division of responsibilities and key accountabilities.

            • Develop departmental operational procedures for collateral risk management and execute daily monitoring/controls according to established workflows.
            • Continuously optimize business processes and upgrade management tools to drive automation of operational controls.
            • Monitor trading activities and collateral value fluctuations to manage margin calls, including transfer of collateral assets. provide support and management to business units for back-office processing, trade lifecycle events, clearing, and settlement (covering FX, derivatives, repos, etc.).
            • Prepare and draft compliance reports in accordance with operational, risk, and regulatory requirements.
            • Maintain proactive communication and collaboration with internal stakeholders and external counterparties.
            • Ensure compliance with the record keeping and disposal requirements from SFC and internal policy.

Requirements:

            • Minimum 3 years of experience in investment banking, brokerage operations or related financial industries.
            • Bachelor's degree or higher in Finance, Economics, Risk Management, or related fields.
            • Working knowledge of derivative products with hands-on processing experience.
            • Thorough understanding of SFC regulations for investment products; prior experience in margin risk monitoring /management preferred

            Technical Skills / Soft Skills Requirement

            • Excellent on MS software (including Excel, Word, Powerpoint)
            • Proactive work ethic with proven ability to manage multiple priorities.
            • Fluency in both written and spoken Cantonese, English and Mandarin.

Data collected would be used for recruitment purpose only.

其他细节

职位空缺来源
JobMarket
参考编号
2345971
发布日期
2025年11月10日
关键词
Account & Audit, Banking & Financial Services, Full Time
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