Search Results: 13,071 vacancies
...market information and trading strategies to clients;
Promote primary bonds and treasury products to clients and execute clients’ order;
Achieve sales target allocated by management;
Act as key contact point to liaise with internal parties including DCM team, r...
Scope of Responsibilities:
Handle daily treasury 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 forecas...
Responsibilities:
Responsible for treasury control, cash management and cash flow forecast preparation
Execute bank loan orders, handle loan administration and repayment
Coordinate with banks for daily funding management
Assist to prepare banking faciliti...
...ssful careers with us.
Responsibilities:
In the Business Management Team,
Responsible for system and IT aspects of financial ma... ...lated business disciplines;
At least 2 years’ experience in treasury and markets environment;
Exposure in financial products and...
...roup consolidated financial statements and business performances.
Prepare quarterly consolidated management reports and annual consolidated budget.
Manage treasury functions, cash flow planning and monitoring, bank facilities, funding, and deposit.
Assist Grou...
Job Duties
Treasury Operations
Global Corporate Treasury Role, assist in driving treasury initiatives.
Assist in managing day-to-day treasury operations, including loan operations, cash flow forecasting and treasury related reporting.
Manage bank account ...
... internal or external signing authority guidelines
Requirements:
~University graduate or above
~3-4 years’ experiences in treasury settlement involving FX/MM, Exchange Fund Bill/Note, CLD in lieu of bachelor degree
~Understand the regulatory requirements
~G...
...ess.
Job Responsibilities:
Develop liquidity risk management framework and formulate policies and procedures to meet head o... ...nal stakeholders, from front to back office to prepare various treasury / liquidity reports. Provide guidance and support to other dep...
...worldwide, invites high calibre and self-motivated individuals to join our organisation.
The Group Treasury and Investment Department is responsible for managing the investments and liaising on funding requirements as well as cash management within the CK Hutchiso...
Responsibilities:
Provide support for investment products pricing and dealing.
Provide market update and product solution to internal clients.
Assist in developing new products in response to the needs of clients.
Assist in the processes of product due dil...
Key Responsibilities
Handle HK Group’s treasury function, including but not limited to funding arrangement, budgeting and liquidity risk management;
Cooperate with Head Office and Risk Department to improve HK Group’s treasury risk management, ALM and FTP framew...
Responsibilities:
Process the contribution and payments with third party banks
Manage banking platform from clients via various channel and settlement
Assist in the implementation of various initiatives, new platform migration, process transformation and impr...
Job responsibilities:
Manage the company's cash and responsible for capital management activities;
Develop and maintain short ... ...rably banking industry;
Hands-on experience and knowledge in treasury and financing activities;
Team player with leadership capabi...
Responsibilities:
Report to CFO directly
Manage the group treasury functions including cash flow management, FX, and hedging activities
Formulate and implement cash pooling strategies
Participate in M&A projects, provide suggestions on funding and impleme...
Responsibilities:
Managing day-to-day treasury operations, including loan operations, cash flow forecasting and treasury related reporting
Execute cash management activities, including cash positioning, cash pooling, and short-term investment strategies
Revie...
...op investment product business and cooperate with Relationship Manager to complete the investment account form and KYC
In collabor... ...s;
~1 - 2 years working experience and have interest to be a Treasury Marketing Sales (marketing and sales in treasury products, inc...
Responsibilities:
Handle the daily treasury activities such as cash transfer, deposits placement for clients
Prepare the daily cash reconciliation and report
Monitor the daily liquidity management for securities/futures/bonds settlement
Ensure smooth runn...
...ucts / services / system development or enhancement related to treasury settlement
~Coordinate and communicate among different depar... ...ding project report, data statistics, etc.
~Focus on project management, system enchancement of treasury settlement
Job REQUIRE...
Responsibilities:
Supervise a small team to handle the overall treasury functions, which includes but not limited to treasury control, cash management and cash flow forecast preparation
Coordinate with banks for daily funding management
Plan and execute depo...
Responsibilities
Carry out daily treasury operations duties including preparing cheques, bank transfer and e-banking payments
Prepare treasury reports related to payments and collections
Consolidate treasury reports from overseas subsidiaries for reporting to...