Treasury Operations Analyst (Bank)(1 year Renewable Contract)
Financial and insurance activities
Our client is a leading bank and they are looking for a Treasury Operations Analyst to join their winning team.
Responsibilities:
- Manage end-to-end FX transaction settlement, including transaction processing, payment execution, confirmations, reconciliations, AML screening, and regulatory reporting.
- Ensure accurate and timely execution of daily operational activities while maintaining compliance with internal controls, policies, and regulatory requirements.
- Monitor cash flow movements and coordinate closely with Treasury and relevant stakeholders to support smooth settlement processes.
- Participate in system implementation, process automation, and operational enhancement initiatives to improve efficiency and service quality.
- Investigate and resolve operational issues, exceptions, and settlement discrepancies in a timely manner.
- Supervise, coach, and support team members to ensure efficient, effective, and high-quality operations.
- Work proactively with minimal supervision, independently manage complex or exceptional cases, and uphold high standards of integrity, risk awareness, and operational excellence.
Experience:
- Bachelor's degree in Finance, Accounting, Banking, or a related field, coupled with relevant treasury operations and settlement experience.
- Demonstrated leadership capability with experience supervising and developing junior team members.
- Extensive exposure to operational change initiatives, including system implementation, automation, and new product rollouts.
- Strong problem-solving, communication, and interpersonal skills, with a proactive and continuous improvement mindset.
- Proficient in Microsoft Office applications and fluent in both written and spoken English and Cantonese.
Ref: JN-072026-204545