... for high calibre to join their group.
Responsibilities:
~Manage and oversee projects and initiatives, collaborating with cross-f... ...successful project outcomes
~Oversee and manage all aspects of cash management daily operations, including payments processing, reco...
...s-oriented professional who would like to pursue the career for supporting our capital market business.
The Role
Analyst, Cash Management, Business Operations
Key Accountabilities
~Handle FX trade, client deposit, unknown deposit, journal entries and cheque c...
...banking, securities brokerage, transaction services, and wealth management.
At Citi, we get to connect millions of people across hundred... ...ng for a high caliber professional to join our team as Officer, Cash Management Treasury Ops - Hybrid (Internal Job Title: Securitie...
...trength and stability, OCBC is consistently ranked among the World’s Top 50 Safest Banks by Global Finance and has been named Best Managed Bank in Singapore by The Asian Banker.
OCBC is the second largest financial services group in Southeast Asia by assets. The Grou...
Responsibilities:
~Manage and ensure that transactional banking inquiries received through hotlines and email are responded to w... ...t experience with the bank. This includes customized support for cash and trade products as well as specific key deals.
~ Provide ...
...s requirements with the business users
~Ensuring risks and issues in processes are identified, reported and escalated to project manager
~Efficiently track, monitor and report business performance and perform business analysis to identify trends, gaps, and opportun...
Anway Limited, a wholly-owned subsidiary of NWS Holdings Limited, currently operates duty free liquor and tobacco, cosmetics, perfume, packaged food and general merchandise at Lok Ma Chau Station, Lo Wu Station and Hung Hom Station.
We are looking for high calibre i...
We are now looking for a Senior Commercial Manager (Cash Management, Payment Solution Sales) in Transaction Banking for a Global Financial Transactions & Payment Company.
About the Role
In line with Commercial strategy/Operating/Regional plans to develop a...
Job Summary
Responsible for formulating and implementing sales and marketing strategies to promote cash management services and products (e.g IPO Receiving Bank/Dividend/Privatization Settlement/ AAS/Cash Pool//Host-to-host/SWIFT/Payroll etc.) to corporate custo...
~Oversee the profitability and development of cash management products
~Drive product development, implementation and product improvement
About Our Client
Established bank with strong presence Globally with corporate banking, global markets, transaction banking,...
HKD 70k - HKD 90k /月
...posals
Coordinate technical and business process change as appropriate and manage any related project implementations
Required Background:
Strong business knowledge of cash equities in APAC market
Strong communicator comfortable engaging with seni...
工作職責:
現金分類, 點算及包裝
準確處理現金交易
搬運錢箱、處理出貨及入貨
其他職責, 如輸入資料
遵守公司業務的操作程序及守則
員工福利包括:
~5天工作
~ 銀行假期
~ 交通津貼
~ 加班津貼
~ 醫療福利
~ 完善在職培訓
All applications applied through our system will be delivered directly to the advertiser and privacy of personal da...
...requirements with the business users
Ensuring risks and issues in processes are identified, reported and escalated to project manager
Efficiently track, monitor and report business performance and perform business analysis to identify trends, gaps, and opport...
...hness of the team daily work; and escalate /consult with senior management on complex issues
* Be the first point of contact for interna... ...rce
Your team
You will be working in the APAC Cash Equity Trade Support. The team supports the Investment Banking ...
...ng for a high caliber professional to join our team as Officer, Cash Equity Middle Office Analyst - Hybrid (Internal Job Title: Secu... ...meet your unique needs, empower you to make healthy decision and manage your financial well-being to help plan for your future. For inst...
... looking for a high-calibre professional to join our Trading Operations Team who will help us on managing the daily operations of our trading platforms in the Hong Kong cash market covering equity securities, funds, structured products and debt securities. You will also...
...ess Function
Global Transaction Services (GTS) comprises of Cash & Trade, Securities Services and Fiduciary Services. In an incre... ...lood of every company, so too, is a good understanding of how to manage these cashflows. Trade Finance, together with Cash Management, i...
Your new company
Our business partner is a foreign corporate bank that is seeking a Head of Cash Management and Customer Solutions to support the growth of cash and treasury products wtihin Global Transaction Services across Greater China.
Your new...
...livering first-in-class systems for trading, market data dissemination and surveillance monitoring in cash and derivatives markets. We play a critical role in managing the full software development cycle, including architecture design, development, testing and implemen...
Finance Manager
Our client, a well established financial institute is looking for a Finance Manager to join their Accounting Depar... ..., including preparation of invoices, vouchers, monthly reports, cash management and bank reconciliations;
# Assist in budget, inte...
We are the world leading promotional merchandise supplier managing the spend of many of the world’s best known brands. Due to on-going ... ... AR, AP and GL activities
- Active role in month-end closing, cash management and performance of controls
- Prepare financial st...
... high quality financial information to head office and to local management in a timely manner and according to Audemars Piguet Finance Man... ...accounting policies.
Review and ensure accuracy of A/R, A/P, cash and other transactions prepared by staff.
Prepare and submit...
...s, we are actively seeking a candidate to join us as Accounting Manager. The ideal candidate will possess strong knowledge in Finance a... ...ties, monthly accounts, and financial analysis.
Manage daily cash flow and cash flow forecast.
Deal with bankers of the group....
The Manager will be responsible for daily opening and closing operations, taking orders, serving food and beverages, and ensuring cust... ...ers and addressing any concerns
● Process payments and handle cash and credit card transactions
● Clean and set up tables and di...
...up reports, budget and forecasts, including working capital and cash flow projections.
Track and analyze the key drivers of the G... ...sight on business performance of subsidiaries to support senior management on strategy formulation and making investment decisions
Mana...
...ely seeking a highly skilled candidate to join us as a Finance Manager . The ideal candidate will possess a strong background in busi... ...nd forecasts with a vision to growth and efficiency.
Prepare cash flow forecast and planning to ensure that cash is planned and m...
...ury activities including global payment, deposit placement, inter-company transfer and bank account opening
Responsible for cash management and monitor daily cash-flow
Prepare cash-flow and liquidity forecast on a weekly/monthly basis
Perform treasury analysis...
Assistant Credit Manager, Personal Banking
Responsibilities:
Conduct credit risk analysis and give recommendations on personal... ...rover., including but not limited to security backed financing, cash backed financing, property mortgage loan, insurance premium fin...
Job Duties
Responsible for financial reporting, management reporting, cash management and other functional reporting requested from the Group
Work with business lines, operations and corporate functions to prepare budgets, forecasts and analysis, including prepa...
... in CCASS as well as fixed income securities settlement in CMU.
~Perform cash and holding reconciliation.
~Take proactive action to ensure continuous improvement and effective risk management in order to protect clients’ and Bank’s interests.
~Support the business...