Global Markets Operations Associate
HSBC Group
Hong Kong, China


A Career with Hang Seng Bank

Hang Seng is committed to service excellence. Our people are our most important asset and play a vital role in our efforts to continually enhance our performance for customers and provide best-

in-class products and services.We seek to attract high-calibre talent by offering a dynamic working environment, good career development opportunities and competitive compensation packages.

Global Markets Operations Associate (Cash Management)

Global Banking & Markets - Global Markets Operations

Hang Seng's Global Markets Operations is a team of experienced banking operations professionals who strive for delivering time-

to-market, efficient and world-class processing services to customers, corporations, financial institutions and internal units.

We are responsible for driving every part of the trade lifecycle post execution. We manage settlement activity, risk and control, while ensuring the delivery of regulatory compliance and seamless operational client services.

We are currently seeking a high caliber professional to join our department as Global Markets Operations Associate .

Principal responsibilities

  • Work as a specialist in a team whose major function is to assist the bank to manage the intra-day liquidity position and risks to meet payment and settlement obligations on a timely basis, under both normal and stressed conditions.
  • Assist Front Office Balance Sheet Management (BSM), to advise them real-time positions for different currencies on a day-

    to-day basis for making trading decisions

    Looking after the bank’s liquidity position as a whole regardless of departments, and manage their funding request to calculate the real time position / projected cash flow.

    Fulfilling regulatory requirement (e.g. Throughput ratio) to ensure a given percentage of the overall payments in a day are released at certain times

    Manage RTGS (CHATS), Faster Payment System (FPS) and all Nostro accounts of the bank, and work with RM if there are any ad-

    hoc / BAU requirements such as OD.

    Participate in system enhancements and new business initiatives, in particular driving projects and focusing on the enhancement / continuous improvement of Cash Management BAU

    Support strategy for Cash Management for the Bank, in collaboration with the Global and regional Business partners

    Follow Group global strategies and constantly updating procedures to fulfil this

    Constantly review and update procedures to cater to the ever-changing regulatory requirement for Cash Management

    Participate in UATs internally and external annual drills from regulatory parties

    Work closely with all internal stakeholders and external stakeholder on Liquidity enquiries


    A degree holder, preferably in a business orfinance discipline

    General banking experience at a major bank,preferably Cash Management / RTGS / Nostro

    General knowledge of treasury products anddocumentation standards

    Strong analytical, mathematics and problemsolving skills

    Able to work independently and meet tightdeadlines

    Proficient in PC applications, includingMicrosoft Word and Excel

    Great sense of ownership and servicing mindset to ensure efficient and effective customer service processes

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