Make markets Asian credit bonds and manage market, credit, interest rates, FX, basis, gap, and counter-party risk in the trading book Monitoring all rate volatility markets and identifying trade ideas between different markets plus ability to
Provide financial planning services to high-net-worth customers Build and maintain good relationship with clients Promote investment, insurance and banking products for optimising new business opportunities Manage operational risk and observe the relevant policies /guidelines and compliance
Develop and Implement Risk Management Strategies: Develop and implement risk management strategies, policies, and procedures to identify, assess, monitor, and mitigate risks associated with the companys business such as EQD, Delta one, PBS and Fixed income/equity
- Required to have prior SFC regulatory working experiences - Very strong in wealth management product due diligence and compliance experiences - Fluent in Mandarin is a MUST...
Responsibilities: Collaborate with the Fintech team to develop and implement innovative solutions to improve operational efficiency and enhance the customer experience. Assist in the design and implementation of fintech projects, including system enhancements, process optimization, and
Key Responsibilities: Develop and enhance company’s framework of market risk management, as well as improving internal risk; Assist in carrying out regular internal audit exercises to ensure that the Group’s policies and internal control procedures are
Responsibilities: Develop and maintain good relationship with institutional clients, including but not limit to offshore enterprise, family office, wealth management company and etc. Accomplish sales target and participate in new product development and strategies, to increase
Cash Management and Liquidity Management • Investing excess cash into Time Deposit, MMF and other short-term products • Forecasting cash flows, ensuring sufficient liquidity to meet operating needs, investments Debt and Capital Management • Experience in
Supervise a team to control and manage non-performing assets and impairment loss Oversee the team’s compliance and adherence to the legal and regulatory requirements, the Bank’s corporate values and culture, internal policies and guidelines Formulate debt
Responsibilities: · Prepare the research articles and analysis reports on the equities market to clients in the Greater China Region · Responsible for performing a wide range of research functions such as collecting information, preparing the
Responsibilities • Portfolio management experience or/and trading experience at buy-side asset management team and formulate investment strategy; • Conduct investment research for multi asset investments • Manage portfolio market risks include FX, interest rate and credit
Reporting to head of Corporate Finance Fluent in Mandarin is a must...
- HK and Greater china region with solid SOE clientele - preferably selling derivative products - Fluent in Mandarin...
Responsibilities: Provide advisory on equity structure restructuring and taxation for corporate clients. Maintain and manage relationship with external partners, such as law firms, tax and accouting firms. Keep track of laws, policies and industry updates. Collect,
- Must work independently as the go-to person for all FICC and treasury department compliance related matters. - EQD compliance background is also welcomed. - Fluent in mandarin in a must...
Responsibilities: Reporting to Head of HR, manage the Company’s corporate communications, branding and marketing. Plan, organize and execute large-scale corporate events among different offices, and drive corporate-level corporate social responsibility engagements and campaigns. Formulate internal and
Will be working along with head of legal Needs to have strong global markets (sales and trading) SFC compliance leadership experiences....
5-8 years of working experiences Native mandarin speaker with fluent cantonese preferably TA (transfer agent) relevant working experiences...