Responsibilities Provide an exceptionally high quality of internal and external client service, developing solid relationships with front office, clients and stakeholders. Financial market transactional processing and timely settlement as per agreed Service Level Agreement’s ensuring deadlines
Responsibilities Financial Planning & Analysis Assist the CFO with developing long-term financial strategies and objectives for the FP&A functions in Asia. Prepare and oversee the Asia budget, liaise with key stakeholders, and monitor spending for each
Responsibilities: Client Onboarding and Account Maintenance: Facilitate the client onboarding process, ensuring all necessary documentation and information are collected and verified in accordance with regulatory requirements. Process account opening, closure, and maintenance requests accurately and efficiently.
Responsibilities: Establish project scope and define business needs with stakeholders and various other functional groups. Perform business analysis, user story preparation, determine workflow and give recommendations on process enhancements and system upgrades. Manage and undertake end-to-end
Responsibilities: Transaction management and documenting deals in accordance with our internal requirements Assist the team in drafting termsheets, rep letters and scheduling meetings Act as the primary contact for maintenance of the Syndicate database Work with
Responsibilities: Manage and ensure that transactional banking inquiries received through hotlines and email are responded to within the committed turnaround time. Resolve queries or issues promptly to maximize client satisfaction. Act as a dedicated Service Advisor
A leading investment bankig firm is looking for an Application Support (AVP/VO) with 5-12 years of experience to join their IT Team. Key Responsibilities: Provide design, development & integration solution that enable the front-to-back trading flow
Responsibilities Completely and accurately document steps taken through the screening process to ensure a compliant outcome. Investigate and assess alerts for potential money laundering risks through screening, reported internally and also by clients. Investigate, review, and
Responsibilities: Handle equity and fixed income settlements in HK equity, China A stock Connect, CMU and Bond Connect market Investigate and resolve settlement exceptions Perform reconciliation to ensure firm books and records match with external banks
Responsibilities: Client Onboarding and Account Maintenance: Facilitate the client onboarding process, ensuring all necessary documentation and information are collected and verified in accordance with regulatory requirements. Process account opening, closure, and maintenance requests accurately and efficiently.