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Treasury Settlements Manager - Mandarin


Sponsorship is not provided with this role. Our client, an international Bank, is looking for a London based Treasury Settlements Manager - Mandarin. This is a hybrid position, 4 days in the office, 1 day work from home. The Treasury Settlements Manager - Mandarin will oversee and manage daily banking operations to ensure efficiency and compliance, develop and implement strategies to enhance operational processes and optimise resource utilization, collaborate with cross-functional teams to achieve organisational goals and deliver exceptional customer service, identify, mitigate and monitor all operational risks. Duties will include (but not limited to): * Ensure adherence to regulatory requirements and internal polices to mitigate risks. * Develop and maintain relationships with correspondent banks in order to facilitate and ensure smooth working support and quick resolution of issues or concerns. * Liaise with Business Development and Financial Markets departments to meet funding requirements and manage funds movements in timely manner. * Lead projects related to the operational systems, ensuring their timely completion, achievement of objectives and cost efficiencies. Ensure smooth, error- free transitions during system changes or upgrades. * Liaise with the Head Office and IT regarding the HO’s system issues and other business requirements. * Supervise and lead team of banking professionals, providing guidance and support. * Monitor and analyse operational performance, identifying areas for improvement and implementing solutions. * Coordinate with external partners and stakeholders to streamline processes and achieve operational excellence. * Conduct regular training sessions to enhance the skills and knowledge of the operations team. * Provide specialist knowledge and support to the Operations function to ensure deliverables are achieved to meet business requirements. * Prepare regular Management Information (MI) reports for the management team. Skills & Experience: * Extensive and proven experience in Operations. * Demonstrated experience in banking operations with a strong understanding of financial regulations. * Comprehensive understanding of Loans Administration. * In-depth knowledge of Payment Operations. * Solid grasp of Treasury Operations. * Proficiency in spoken and written English and Mandarin. * Over 10 years of experience in Financial Services Industry with a proven track record in similar departments or business streams. * Relevant professional qualification. For more information on this role please contact Sarah Roffey by sending your CV and quoting ref 16842SR

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