Responsibilities: Plan and execute projects with the front office Equity Derivatives and Fixed Income structured products teams. Work with various parties and e...
Business Function Corporate and Investment Banking provides corporate customers with a full range of commercial banking products and services, including cash...
-to-end operational process from on-boarding, IMA negotiation, cash flow/ transactions,...
About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East. To us, goo...
APAC TTS Cash Risk Head The TTS Cash Risk Management team is a subset of Transaction Services Risk Management, which consists of a core group of professional...
Business Function Corporate and Investment Banking provides corporate customers with a full range of commercial banking products and services, including cash...
Responsibilities: Develop services for the structured products business lines Manage requirements from sales, engineering and operations Design API and services...
Responsibilities: Perform finance and accounting functions including cash flow management, financial reporting and forecasting, accounts receivable, accounts...
Responsibilities Co-lead in creating capital market products that meet the market trends and client expectations; from the conception stage, product implementat...
About Standard Chartered We are a leading international bank focused on helping people and companies prosper across Asia, Africa and the Middle East. To us, goo...
Job Purpose: Under the guidance from Region Head of Financial Institutions & Counterparty Credit Risk Management (FICC), , implement the strategy...
The successful candidate must be experienced in designing and building modern web applications using best practices. Work on applications designs and present th...
Key Responsibilities: Help design, implement and operate the 2nd Line credit processes and controls as part of the broader counterparty credit risk and controls...
Fund Operation Manager Responsibilities: Prepare and validate daily and monthly NAV Prepare and check regular and ad hoc reports Perform settlement prepar...
My client is a Large Chinese Financial Institution looking for Treasurer to look after Liquidity as well as Cash Management. Duties: Manage cash flow...
Your new company Our client is a fast growing banking and financial services platform that is currently dedicate to expanding their operations in Hong Kong Your...
Responsibilities To assist Client Management Head in delivering the following roles and responsibilities: · Key contact point of daily services for major...
RESPONSIBILITIES: Oversee companys principal capital on asset allocation, portfolio liquidity management, new business incubation, investment and post...
The Investment Finance Real Estate Sr Group Mgr manages multiple teams through other managers. In-depth understanding of how Real Estate contributes to achievin...
As a Treausry Associate at ATOM, you will be part of the Treasury Team which is responsible for the treasury functions. DESCRIPTION · Assist to perform treasury...