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Handle daily clearing and settlement tasks in the settlement department.
Process and verify daily client funds deposits and withdrawals.
Manage client stock deposits and withdrawals.
Perform daily parameter maintenance for securities and futures clearing backend systems.
Generate and send daily and monthly client account statements.
Conduct business-related product testing and system testing tasks.
Communicate with internal and external stakeholders to ensure smooth settlement processes.
Perform other tasks assigned by the department supervisor.
Job Requirements:
Bachelor's degree or above in Finance/Accounting or related fields.
At least 2 years of experience in securities settlement/finance/customer service, with familiarity in stock trading settlement operations.
Strong computer skills and proficiency in Office software applications.
Meticulous, eager to learn and think critically, with strong stress management and teamwork abilities.
Ability to accept work arrangements such as public holiday shifts, adjusted rest days, and alternating early/midday shifts.
Proactive, with excellent communication skills.
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