Check and review on reconciled cash and stock reconciliation to identify errors or breaks - Ensure daily and monthly reconciliation of General Ledger account……
Support in client onboarding team on daily processing including account opening and static data maintenance. Review client documents/instruction and update the……
Operate within firm risk, compliance, and control frameworks. Build trusted working relationships with client operations, finance, and trading teams.…
Ensure proper implementation and control of production changes according to policies, standards and procedures. Standard - 40 Hours (Hong Kong SAR).…
Support the training and onboarding of new associates on Revenue Management tools and systems. Support inventory control processes, including report preparation……
Assess security controls from external IT providers. NIST CSF / SOC 2 / GDPR control mapping. Azure or M365 is delivery or data only, not security controls.…
Implement and improve data governance practices, including validation checks, documentation, and version control. Fluent in Cantonese or Mandarin.…
Ensure proper implementation and control of production changes according to policies, standards and procedures. Standard - 40 Hours (Hong Kong SAR).…
PNL controls – Maintain P&L controls, performing comprehensive reviews and cross-business reconciliations to ensure the accuracy and integrity of financial……
Participate, alongside the global and local teams on the commercial activities, product development, solutions structuring, enhance the risk and control……
Engage in Citi’s broader corporate objectives, such as recruitment and training of junior analysts and associates. Develop relationships with Citi clients.…
Strong interpersonal skills when interacting with project manager and business analyst; Write technical documentation, manage source code versions, support……
The ideal candidate will possess a strong foundational knowledge of FICC products, exceptional problem-solving skills, and a control-focused mindset.…
Adhere to bank’s policies, standards, operations guidelines/ procedures, security and internal control measures. (A) Customer Reactivation and Services.…
Deliver timely responses and solutions to frontline users, including Call Center and Customer Feedback Management, to effectively address customer inquiries and……
Assist in the development, review and implementation of AML-related policies, procedures and controls in PWM Asia. (e.g. CAMS, AAMLP/CAMLP, CPA, etc.).…
Participate in regulatory reporting, reconciliations, control checks, and system UAT; Collaborate with trading, sales, operations, and compliance teams to……
Handle front-end commercial competencies such as corporate/product strategy, customer experience, sales and marketing strategy/process/operations.…
Associate/Analyst, Operations Control and Reporting, Wealth Management Operations, Technology & Operations
Kwun Tong
Business Function Group Technology and Operations (T&O) enables and empowers the bank with an efficient, nimble and resilient infrastructure through a strategic focus on productivity, quality & control, technology, people capability and innovation. In Group T&O, we manage the majority of the Bank's operational processes and inspire to delight our business partners through our multiple banking delivery channels. Key Responsibilities - Prepare, check and coordinate various regulatory reports (CRS, FATCA, GSIB, HKMA return, etc.) and ensure data accuracy and timely submission - Prepare / consolidate regulatory reporting for the timely and accurate filing to internal parties for final submission to SFC/ HKMA / MAS. - Check and review on reconciled cash and stock reconciliation to identify errors or breaks - Ensure daily and monthly reconciliation of General Ledger account balance are performed - Building risk awareness amongst staff by providing support and training within the Team - Assist Team Lead to implement various change initiatives and projects in terms of system and processing procedure by considering operation flows, markets, upcoming regulations and controls' requirements - Liaise with business partners on user requirements, participating and monitoring the UAT status to ensure achieving project timeline. - Ensure the daily operations to comply with external/regulatory and internal requirements and the bank’s risk management standards - Ensure SOPs are reviewed and updated regularly in order to comply with internal and external guidelines/regulations - Assist Team Lead to manage the team to meet Management (MTK) target - Assist Team Lead to conduct RCSA review, policy and compliance audits, which will include reviewing of internal workflow for the preparation of external and internal audit Requirements - At least 5 years hands-on experience on securities settlement, reconciliation, control and reporting - University graduated in Finance, Business Administration or relevant disciplines - Experience in project administration is preferable - Experience in Avaloq workflows would be an advantage - Sound knowledge on regulatory requirements for investment products and - Good understanding of market rule and practices will be an advantage - Excellent knowledge on Investment products settlement including equities, fixed income, Unit Trust and structured products will be an advantage - Sound risk and control mindset - Ability to identify errors and ability to work to under pressure - Self-motivated with ability to deal with multiple commitments / deadlines - Appropriate handling of sensitive information - High Level of attention to detail - Strong team management skills - Strong analytical and organizing skills - Good communication skills and able to work independently Apply Now We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements. We regret only shortlisted candidates will be notified.