Senior Manager (Treasury - Cash and Liquidity Management)
The Hong Kong Mortgage Corporation Limited
Central, Hong Kong

We are looking for high-calibre individuals to join the Treasury Department for serving the HKMC, its subsidiaries and subsidiary undertakings (the HKMC Group).

Job Descriptions

  • Reporting to the Head of Asset-Liability Management (ALM), he / she will be responsible for cash and liquidity management;
  • To execute money market and treasury transactions according to guidelines and policies;
  • To monitor and project cash flow and liquidity position, conduct sensitivity and simulation analysis for portfolio re-balancing;
  • To work closely with team members on other treasury dealings such as fixed-income investments, foreign exchange, swap and derivatives hedging and debt issuance; and
  • To monitor market condition and provide support to ad hoc projects.
  • Requirements

  • Degree holder in relevant discipline (preferably in Finance and Economics), a higher degree or related professional qualification such as CFA or FRM is an advantage but not essential;
  • A minimum of 5 years’ relevant experience in treasury with solid knowledge in financial industry and products;
  • Solid treasury products knowledge in MM, FX, swaps, derivatives, fixed-income and REITs;
  • A team player and self-starter with strong analytical mind, good interpersonal and presentation skills;
  • Good command of English and Chinese is a must; and
  • Proficient in PC applications, Bloomberg and Reuters.
  • Candidates with less experience will be considered for the position of Manager.

    Closing Date : 19 July 2018)

    通過點擊“繼續”,我允許neuvo同意處理我的數據並向我發送電子郵件提醒,詳見neuvo的 隱私政策 。我可以隨時撤回我的同意或退訂。