As part of the world’s leading international bank, HSBC Securities Services provides robust and reliable solutions that enhance performance and mitigate risk, today and in the future. Working with institutional investors, banks, insurance companies, governments and multinational corporations, HSBC Securities Services offers a range of fund administration, global custody, sub-custody and clearing, and corporate trust and loan agency services.
Job content:
Handle day to day BAU operational process on global market products with focus on Fixed Income, including but not limited to trade validation, affirmation, confirmation, settlement, reconciliation and regulatory reports.
Cooperate and coordinate an efficient operation for Bonds and Bills Business.
To ensure all the transactions undertaken are processed, properly documented, accurately recorded, checked and settled in accordance with local regulations and group guidelines, policies and standards.
To ensures adequate Systems /control procedures are well established to cope with business requirement and protect HSBC’s interest
To provide immediate and professional response to customer’s query and support business to deliver best client service as one team to enhance clients experience
Qualifications
Bachelor’s degree in Finance, Accounting, Economics, or Business
Work experience and responsibility in Banking
Sound knowledge on global markets products & operational procedures
Details oriented, fast learning ability, Numeric sensitivity and aggressive personality
Sense of operational risk and Good communication skill
Qualification: Securities and Bill license
Strong MS PC skills
GPAD covered
We regret to inform you that this job opportunity is no longer available