Supervise a team of accounting staff in performing daily NAV prices computation for MPF Schemes, APIFs and pension schemes.
Organize placement of unit trust orders, review cash funding, execute FX and arrange cash transfers with relevant banks in a timely and accurate manner.
Understand MPF / ORSO Scheme Regulations and SFC Codes and Guidelines well to facilitate the monitoring of pre and post trade settlement compliance.
Ensure all transaction and accounting records are recorded accurately and timely.
Maintaining a high degree of accuracy and consistency in preparation of daily reporting and ensure that the pricing/valuation processes comply with audit requirements while service standards and regulations are met.
Ensure all reporting, regulatory returns and client’s reports are prepared and released within specified deadline and with no service slippage.
Work closely with First Vice President to deal with issues and queries from clients in a professional and timely manner
Follow and perform control as specified in Procedure Manual and service level agreements; ensure that staff are strictly in compliance with such requirements in all relevant work processes to minimize any potential operational risks. Prompt escalation to First Vice President or Department Head for any issues identified.
Participate in any automation project to enhance operational efficiency in Fund Services as assigned by Department Head. Take initiative to provide user requirements, give recommendations and work closely with other stakeholders including IT teams and service vendor to ensure a smooth implementation to enhance operational efficiency and effectiveness.
Act as an expert user and coordinate team members to perform user testing on system enhancement or projects
Provide training and coaching to team members, and establish effective communication within the team, across other teams and with other departments
Degree holder in Accountancy or Business related discipline, preferably in Finance or Accounting
Minimum 7 years’ experience in fund accounting and administration, with substantial experience in unit trust / MPF / ORSO operations
Strong fund administration industry knowledge must be demonstrated
Good command of spoken and written English and Chinese
Leadership and interpersonal skills to nurture team play
Ability to work under pressure and to drive changes
Analytical mind-set and risk awareness
Good problem shooting and problem solving skills
Remuneration will be commensurate with qualification and experience. Please send your application with detailed resume indicating both present and expected salary and date of availability to the Human Resources Manager via email: [via CTgoodjobs Apply Now ] , by fax to 2314 3984 or mail to 18/F Cosco Tower, 183 Queen's Road Central, Hong Kong.
(Personal data collected will be used for recruitment purpose only and will be kept strictly confidential)
BCT Group (“BCT"), comprising BCT Financial Limited (BCTF) and Bank Consortium Trust Company Limited (BCTC), is a key provider of MPF/ORSO products and best-in-class asset servicing for investment funds and pensions with BCTC being one of the largest trust companies in Hong Kong. Founded in 1999 by a group of renowned banks in Hong Kong, the shareholder group currently comprises 8 reputable financial institutions with long history of serving the public.
BCTF acts as a sponsor and distributor of pension products whilst providing customer service, investment and retirement planning services as well as investor education.
BCTC offers one-stop trustee, administrator and custodian services for MPF/ORSO, international pension plans as well as global investment funds, QFII and RMB funds.