Company website: www.cathaybk.com.tw/hongkong
Responsibilities:
Conduct money market instruments, including interbank lending/borrowing, certificate of deposit, FX swaps and Repo to manage daily liquidity and cash flow of the Bank
Manage liquidity and interest rate risk for the Bank and to ensure all key risk indicators are in compliance with internal limits and fulfill regulatory requirements
Collaborate with relevant business units on funding needs/uses, clients’ remittance and trading settlement in order to facilitate efficient transaction processes
Assist to execute on ALM strategies and maintain FTP measures
Participate in ad hoc assignments and prepare monthly reporting to the senior management
Ideal candidates are expected to possess:
Degree holder in Finance, Economic, Business or relevant disciplines preferred
At least 1 year’s relevant experience in money market
Sound product knowledge and understanding of relevant derivatives regulatory framework
Holder of HKSFC Type 1 license
Able to work under pressure
Good analytical skills
Proficient in written and spoken English and Chinese (Mandarin and Cantonese)
We offer attractive salary and comprehensive fringe benefits. Interested parties please e-mail your full resume with current and expected salary by clicking "Apply Now".
Personal information collected will be used for considering suitability for the post and strictly in accordance with our personal data policies. It is our policy to retain the personal data of unsuccessful applicants for future recruitment purposes for a period of maximum two years.
Full-time,Permanent
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