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公司简介
兴业银行股份有限公司(简称:兴业银行)于1988年8月成立于中华人民共和国,总行设在福建省福州市,是经中华人民共和国国务院、中国人民银行批准成立的首批股份制商业银行之一。并稳居全球银行50强、世界企业500强之列。
兴业银行香港分行于2014年3月正式开业运营,为兴业银行第39家一级分行,也是兴业银行首家境外机构。兴业银行香港分行遵循总行「通向海外的窗口、业务创新的平台、人才培养的基地」的战略定位,严格按照当地监管要求,坚持依法合规经营,为广大客户提供专业、优质、全面的金融服务与解决方案,打造出一支年轻、活力、充满朝气的经营管理团队,助力实现「同兴业,共成长」的共赢格局。
工作地点:香港
招聘
岗位
01 高级综合文字及企划岗
02 Business Management and Analyst Manager- Private Banking
03 Assistant Relationship Manager / Relationship Manager,Private Banking Department
04 Assistant Relationship Manager / RM, Financial Institutions (Non-bank FI)
05 IT Security Analyst and Technology Risk
06 Fixed Income Bonds Trader
07 Treasury Sales - Financial Market
08 Market Risk and Counterparty Risk Manager
01
高级综合文字及企划岗
岗位描述:
职责:
1、综合文字及工作督办
1.1 依据行领导工作需要及时准备综合文字材料,包括但不限于年度工作总结、专题工作汇报、年度规划等综合性文字材料。
1.2 根据行领导工作要求或相关总行工作要求,督办分行重点工作事项。
1.3 督办分行内设专业委员会更新情况
1.4 协助行长会议的会议纪要工作
1.5 负责分行周报、简报的报送工作。
2、协助分行对外信息披露、企划宣传工作
2.1 协助分行必要时对外信息披露文稿编撰;
2.2 协助做好分行重要企划宣传工作
2.3 协助提供给外部协会、媒体的专稿、正式文稿事宜。
3、配合行长的业务管理工作
3.1 根据管理层工作要求,牵头或协助分行综合性管理项目
3.2 协助行领导的工作安排事宜
4.协助分行公文管理工作
5.制度建设及流程优化
负责所承担工作职责中制度制定、修订及实施推进。
要求:
1. 具备大学本科或以上学历,经济、金融或行政管理相关专业尤佳
2. 具有5年以上相關工作经验,其中在金融机构工作3年以上;
3. 熟悉或了解金融或银行业务,如曾在前线部门工作经验,并具有行政文秘工作 或综合文字经验优先
4. 普通话语言表达流畅,能够读、写英文工作文书。
5. 悉日常辦公軟體,如 MS Office Excel,PPT等办公软件。
6. 良好组织及沟通能力、能独立工作、处事具责任感;
02
Business Management and Analyst Manager- Private Banking
岗位描述:
Responsibilities:
1. Perform business analysis, review and prepare user requirements document for projects & product implementation, ensure the functional design meets expectation of end users.
2. Participate in full project life cycle and develop related documents, including but not limited to:
- Collaborate with internal teams and other department to develop business requirements and business processes for private banking product and online platforms;
- Communicate and document the business requirements, business processes and use cases;
- Review system design to ensure the functional design meets expectation of business requirement;
- Prepare testing scenario and plans, conduct testing and quality assurance;
3. Prepare and provide system related training to other teams.
4. Perform any other business management duties as assigned by superior from time to time.
Requirements:
1. Bachelor degree required, preferably in Business Administration or IT related.
2. At least 1 years of relevant experience on preparing business requirement for banking industry.
3. Strong analytical and communication skills
4. A team player with good interpersonal skills
5. Innovative and able to work independently and under pressure
6. Good command of spoken and written English and Chinese, fluent Mandarin is a plus.
03
Assistant Relationship Manager / Relationship Manager,Private Banking Department
岗位描述:
Responsibilities:
1. Establish new business contact and expand the business portfolio of Private Banking Centre PRC related clients
2. Responsible to lead the RM team and achieve business target which is assigned by management
3. Provide investment advisory service to Private Banking clients and selling banking solutions to Private Banking Customers
4. To manage customers’ portfolio by providing advisory service and perform trading order execution for clients
5. Sell and cross-sell investment/FX/securities products
6. To maintain cordial relationship with existing clients and potential clients
7. Assist Relationship Managers in the daily maintenance of customer relationships
8. Frequent travel
Requirements:
1. University Degree in Business Administration, Finance, Economics or relevant discipline
2. Minimum 5 years private banking/ wealth management experience or equivalent, PRC experience is an advantage
3. Holder of professional qualifications such as ECF-RWM, CPWP, CFMP, FRM CPA and CB will be an advantage
4. Good communication and interpersonal skills
5. Good written and spoken English and Chinese, including Putonghua
04
Assistant Relationship Manager / RM, Financial Institutions (Non-bank FI)
岗位描述:
Responsibilities:
1. Explore business opportunities and promote banking products to achieve business targets.
Develop and maintain solid business relationship with our Non-bank FI customers (i.e. securities house, public sectors, financial leasing, financial holdings, trust, insurance, funds, asset management etc.)
2. Provide quality service and tailor-made solutions to our customers
3. Identify cross-sell opportunities including FICC, DCM , syndication loans and structure lending;
4. Prepare thorough financial analysis and credit proposals in accordance to the Bank's guideline;
5. Supervise the operations of account opening including KYC
6. Monitor the assigned client portfolio to minimize credit risk and to ensure the post-lending in compliance with the bank policy and related guidelines
7. Assist in product development and enhancement
Requirements:
1. University graduate or above, major in Finance, Economics or Accounting preferred; with 2 years relationship manager with proven track record in handling business independently; relevant experience in covering non-bank FI clients is a plus;
2. Proven ability to deliver KYC for high profile client onboarding and renewals
3. Excellent credit analysis and risk management skills, good knowledge of banking products and relevant Hong Kong SAR and the China banking regulations;
4. Possess strong time management, organizational , relationship building skills;
5. Excellent command of English, Cantonese and Putonghua
6. Qualification of SFC license 1 and 4
7. Qualification of CFA, CPA or FRM will be preferred
8. Candidate with more experience will be considered as Senior Relationship Manager
05
IT Security Analyst and Technology Risk
岗位描述:
Responsibilities:
1. Evaluate IT systems, the security policies of the bank, requirements of regulators and user departments to establish IT risk and security framework together with the policies and procedures necessary to ensure system security is in place
2. Develop and oversee implementation plans of the policies and procedures
3. Conduct system vulnerabilities scan and recommend remediation
4. Provide training and awareness update on technology risk and security
5. Conduct security risk assessment of IT systems, assess effectiveness of IT security measures and carry out improvement work
6. Monitor security risk, handle security incidents and carry out investigation
7. Evaluate, recommend and procure security solutions and tools
8. Coordinate with head office, regulator, risk management, compliance and audit on technology risk and security matters
9. Carry out ad-hoc tasks as required by management
Requirements:
1. Minimum 3 years working experience in management of technology risk, IT compliance and security in banking sector
2. Holder of CISSP / CISA certification is required
3. Degree holder in information technology or related disciplines
4. Familiar with technology risk and security management in banking industry
5. Sound knowledge in Hong Kong Monetary Authority's requirements in technology related areas e.g. CRAF, TMG, TME, etc.
6. Good understanding of banking IT architecture and development process
7. Possess project management skills, including analysis, determination and communication
8. Prior experience in technology risk management of banking is an added advantage
9. High proficiency in spoken and written Putonghua, English and Cantonese
10. Possess good communication and coordination skills
11. Dedicated to work, well conducted
12. Responsible, attentive to details, a good team player and professional
06
Fixed Income Bonds Trader
岗位描述:
Job Highlights:
1. Minimum 3 years bond dealing experience
2. Execute Chinese-issued USD Bonds and RMB Bonds
3. Monitor market move and place trade orders
Responsibilities:
1. Execute Chinese-issued USD Bonds and RMB Bonds in an efficient and accurate manner by contacting market makers and counterparties.
2. Monitor market move, place trade orders and efficiently source liquidities.
3. Willing to deal with people, work with sales team to initiate trade and execute trade, mainly china credit, also involved in rates/repos/other hedging derivatives.
4. Analytical and Numerical. Collect market information and trading data, perform market analyses, generate and implement investment strategies, prepare daily and weekly market commentary
5. Demonstrate an understanding of front to back trade flows as well as risk and P&L
6. Prepare daily P&L and position report to management; Work with Risk Department to implement risk monitoring, management and controls
7. To perform ad hoc projects as required
Requirements:
1. University degree holder in Finance, Accounting, Economics or related discipline
2. Minimum 3 years bond dealing experience in financial industry, extensive and solid knowledge of Fixed Income market.
3. Good knowledge on credit analyst and trading skill.
4. Ability to multi-task and work under pressure
5. Strong MS Excel skills, ability in VBA programming is a plus
6. Strong communication and prioritization skills
7. Demonstrated experience in a challenging and rapidly changing environment with a desire to accept new assignments and the ability to learn new principles and dynamic systems quickly
8. Ability to identify and implement new processes across multiple functions that will improve efficiencies and reduce operational risk
07
Treasury Sales - Financial Market
岗位描述:
Responsibilities:
1. Responsible for sales & marketing full range of treasury products including FX/Fixed income products, include cash bond, FX, interest rates swap, structure deposit, credit derivatives etc.and services to our corporate and institutional clients.
2. Establish and develop business relationship with financial institutional clients (both bank and non-bank FI) ,promote treasury product solutions to meet client needs.
3. In collaboration with Relationship Managers to provide hedging/investment solution to our corporate clients.
4. Quote price and execute transactions for clients.
Requirements:
1. Bachelor Degree in Finance, Economics, Mathematical Statistics, Information Technology, New Energy, New Materials Science and Engineering majors are preferred.
2. Minimum 2 year relevant experience with thorough understanding of the flow of Treasury and working experience in FX/Fixed income market.
3. Familiar with onshore and offshore China Bond market, familiar with Bond Connect business will be a plus.
4. Holder of licenses for Type 1 and/ or 4 regulated activities.
5. Self-initiative and a good team player.
6. Experience on conducting financial institutional client onboard process will be a plus.
7. Fluent in English and Mandarin is a must, Cantonese will be a plus.
8. Candidate with more experience will be considered as Senior role.
08
Market Risk and Counterparty Risk Manager
岗位描述:
Job Highlights:
1. At least 3 years relevant experience
2. Monitor trading limits, provide market risk
3. Counterparty credit risk
Responsibilities:
1. Monitor trading limits and exposure limits of traders.
2. Prepare daily risk management report and ensure precise position.
3. Ensure full compliance with internal risk management policies/guidelines and external regulatory requirements.
4. Advise and assist senior management on reviewing limits, risk management policy, trading process and procedures.
5. Prepare and provide market risk and counterparty credit risk related information or statistics to senior management and regulators.
6. Develop risk technologies and systems for monitoring and expanding scope of products and trading strategies.
7. Identify business processes that interfere with accuracy of exposure analysis and work in collaboration with associated departments to ensure transparent and accurate views of market risk.
8. Perform ad hoc project assigned by senior management or in relations to market risk and counterparty credit risk management.
Requirements:
1. Degree holder in Math/ Physics/ Financial Engineering / Risk Management / Quantitative Finance, etc.
2. Professional qualification(s) FRM, CFA or equivalent is definitely a plus.
3. Minimum 3 years of solid experience in market risk management, counterparty credit risk management, product control or risk system development in banking industry. Experience in quantitative analysis, VBA coding will be an added advantage.
4. Knowledge in risk management and valuation methods for various foreign exchange, interest rate and structured products, and analyze related value changes.
5. Experience in new product development (treasury products), risk assessment control and monitoring framework development, system implementation development and enhancement.
6. Good system skills in operating Treasury systems, e.g. Murex, Bloomberg and Reuters are preferred.
7. Self-motivated with strong analytical and people skills as well as risk control sense.
申请方式
Please send full C.V. with present and expected salary to
hrhk@cibhk.com
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