About this role
• Oversee and manage the settlement lifecycle for Global Financial Markets (GFM) products, ensuring accuracy, completeness, and adherence to risk management frameworks. • Possess a keen eye for detail in reviewing and validating a wide array of transactions supporting documents. You will be responsible for evaluating the documentation provided for various FX Spot and Forward requirements, ensuring that each transaction is well-supported and fully aligned with the underlying business rationale and contractual terms
• Drive operational excellence by identifying and implementing process automations and quality enhancements. • Lead the reconciliation of in-house systems with counterparties, General Ledger (GL), and Nostro accounts. • Process corporate settlement and interbank transactions efficiently. • Support country-specific automation initiatives and collaborate with stakeholders to drive progress. • Contribute to staff engagement by creatively planning and executing relevant activities. Experience & Skills:
• Proven experience in derivatives product settlement. • Strong analytical and problem-solving capabilities. • Excellent communication and interpersonal skills. • Demonstrated ability to present information effectively Technical Proficiency:
• Proficiency in automation tools is considered a plus. Preferred Qualifications:
• Senior Securities Specialist and/or Bill Finance Specialist certificates.
Location: Taipei Hub - 13F Job: Operations Schedule: Regular Employee Status: Full time