About this role
Position Description
• As part of the trade support / settlement team, we are responsible for processing cash equities and F&O settlements.
• Engaged in overseas bond settlements for Treasury Liquidity Investment and ETF/ Single Stock Market Making Business.
• Supporting outbound trades for Korea domestic clients; and
• Improving existing internal control and requirements.
Key Areas of Responsibilities
• Perform daily middle and back office operations and respond on internal and external client’s inquires;
• Liaising with overseas operations to complete cash equities trades matching on daily trading support and administrations issues;
• Monitor daily trade cycle and resolve the breaks, perform daily trades reconciliation;
• Processing Korea Clients On-Boarding and accounts setup and static management;
• Release outbound confirmations for KR domestic clients and monitoring settlement status;
• Back up the overall operation/settlement in both cash equities, F&O, and other business;
• Preparation of Regulatory reporting to FSS, KRX, KSFC, BOK and etc.; and
• Participate in projects as assigned.
Requirement
• Degree holder, preferred major in Business, Finance or Accounting related discipline
• Minimum 5 years of experience in Operations/Middle Office within Securities Brokerage Industries
• Familiarity with cross-border investment via QFI, Stock Connect and Bond Connect
• Knowledge of investment products such as equities, fixed income, future, option, FX and etc.
• Strong sense of accountability and responsibilities for owning issues through to resolution
• Strong Communicator (articulate and literate), highly self-motivated, attentive to details, diligent and a good team player
• Proficiency in both spoken and written English and Korean.
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