Job Description:
Perform day-to-day treasury settlement operations for FX/MM, Fixed Income, Derivatives and Option transactions
Handle the corresponding pre- and post-trade verification and settlement
Liaise with relationship manager/customer for the disposal instruction of maturing subsequent processing in terms of payment execution
Handle cheque issuance
AML payment screening and escalation
Handle pre and post settlement exception cases and investigation
Prepare and reconcile daily & monthly reports
Participate in bank-wide system enhancement, new product implementation, workflow review, ad-hoc assignments and the relevant UATs
Respond to both internal and external clients enquiries timely and investigate the issues as necessary
Review and update procedure manual regularly in accordance with bank practice
Coordinate with team head in reengineering projects for continuous process improvement
Requirements:
Higher Diploma or above
5 years or above working experience in treasury settlement and payment operations
Sound knowledge and experience with the regulatory reporting and requirement such as Trade Repository, Clearing & Record Keeping Obligations and SPM Margin requirements
Solid experience with SWIFT, CHATS, CMU, HKTR and Easyway of Euroclear
Good analytical, problem solving, presentation and interpersonal communication skills
Proficiency in Microsoft Office applications
Good command of both written and spoken English and Chinese, fluent in Putonghua is an advantage
How to Apply
If interested for the above position, please send detailed resume with current and expected salary as well as date of availability through Apply now.
For more job opportunity, please visit our website: www.clts.com
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Job details
- Work Exp
- 5 Years
- Education
- Associate Degree
- Industry
- Information Technology
- Job Function
- Information Technology > Testing, Banking / Finance > Treasury
- Location
- Central
- Employment Type
- Full Time
- Published On
- 30 Jul 2026
