About this role
Manage end-to-end bond trade settlement (subscriptions, redemptions) and reconciliation with custodians/brokers. Supervise corporate action processing and bond coupon/maturity payments. Ensure accurate FATCA and regulatory reporting data preparation. Support the review of daily Wealth Lending operations. Oversee investment product GL entry booking. Collaborate with stakeholders on projects and system enhancements. Drive and support UAT for system upgrades and bug fixes, including data verification. Identify and implement operational process improvements and ensure strong internal controls.
Location: Taipei Hub - 13F Job: Operations Schedule: Regular Employee Status: Full time