1. 海外子公司財務會計帳務審核及稽查。
2. 各項財務相關分析及報表,並對管理階層作報告。
3. 會計師查核資料審閱、分析、追踪。
4. 提供並分析其他管理決策所需之管理會計資訊。
5. 協調並進行跨各部門溝通,有效落實制度、辦法與規章。
6. 每年度定期至各子公司實地稽核、審查。
Job Description
1.Overseas subsidiary financial accounting and audit.
2.Conduct various financial analyses and prepare reports for senior management.
3.Review, analyze, and track data for auditing by accountants.
4.Provide and analyze management accounting information required for other managerial decisions.
5.Coordinate and facilitate communication across departments to effectively implement policies, procedures, and regulations.
6.Conduct periodic on-site audits and reviews at each subsidiary every fiscal year.
Job Summary:
Covers operations and related activities. Provides operational support to the asset management business and/or products.
Provides post-sale technical customer service to business or end-consumer customers via phone, online chat, or text including: Responding to a high volume of low complexity technical inquiries (e.g., equipment or software installation/activation/troubleshooting, providing technical product specifications & information on compatibility with other products, etc.). Providing responses to customer inquiries based on pre-determined scripts and other response guidance tools. Recommending alternative products or services (e.g., warranties) as part of customer issue resolution. Perform AML/KYC monitoring.
Who we are:
With over $1.9 trillion of assets under management, Invesco is one of the world’s leading global investment management firms, headquartered in Atlanta, GA. Spreading across 26 countries and with over 8400 dedicated employees, we are driven by trust and care. As one of the world’s leading asset managers, we are solely dedicated to delivering an investment experience that helps people get more out of life.
To support effective management of Transfer Agency (TA) operations, with a primary focus in client servicing and ensuring compliance with Anti-Money Laundering (AML) regulations. This role is responsible for maintaining service excellence, implementing company policies, and supporting risk mitigation efforts.
Key Responsibilities / Duties:
Perform daily TA operational tasks accurately and efficiently.
Support the implementation of TA team objectives, policies, and procedures.
Deliver high-quality service to clients and respond to inquiries in a timely manner.
Ensure adherence to AML policies and procedures, including transaction monitoring and client due diligence.
Adhere to operational procedures and internal controls to mitigate risk and ensure regulatory compliance.
Collaborate with internal stakeholders and external service providers to resolve issues and client inquiries.
Participate in and support ad-hoc projects and initiatives as assigned, including process improvements and system enhancements.
Work Experience / Knowledge:
Bachelor’s degree in Finance or Business area of concentration
3-5 years of relevant experience in SITE industry, with exposure to TA operations and AML practices.
Strong communication and interpersonal skills, especially in client-facing environments.
Solid understanding of AML regulations and TA operational workflows
Good organizational skills and problem-solving abilities
Good command of written and spoken English
Detail-oriented with a proactive and collaborative mindset
SITE/SICE licenses required
Our benefit policy includes but not limited to:
21 days of Annual Leave
Learning and development programs
Health & wellbeing benefits
Parental Leave benefits
Employee stock purchase plan
How to Apply:
Apply for the role directly here or at Invesco Careers: Careers at Invesco | APAC.
To know more about us:
About Invesco: https://www.invesco.com/corporate/en/home.html
About our Culture: https://www.invesco.com/corporate/en/about-us/our-culture.html
About our CR program: https://www.invesco.com/corporate/en/our-commitments/corporate-responsibility.html
About the Role :
Drive cross border ETF(and potential onshore ETF opportunity) and offshore fund asset inflow from covered accounts.
Maintain strong relationship with distributors.
Push opportunities for cross border ETF (and potential onshore ETF opportunity) and mutual fund asset growth.
Actively provide comprehensive service to client.
Continue to build Invesco’s relationships with key stakeholders of intermediaries to expand the book of business.
Adequately present asset class and capabilities of investment teams at the early stages of engagement.
Lead Distribution Agreement discussions.
Achieve sales and revenue targets assigned.
Achieve the agreed level of client engagement activities.
Actively market existing products include having regular conversations with various teams in the intermediaries to highlight the attractiveness and strength of Invesco products versus peers.
Support clients when they conduct peer comparison analysis.
Coordinate and lead in the organization of roadshows / RM briefings.
Address issues/challenges that clients may face with respect to selling our products to their end investors.
Work closely with cross departments (E.g. Investment, Compliance, etc.) in delivering timely response and solving issues faced by clients.
Requirement for the Role :
Bachelor's degree or higher in Economics, Business, Finance, or a related discipline.
Over 3 years of experience in intermediary sales within asset management firms or brokerage firms.
2+ years' experience in servicing ETF related businesses.
Sales, product research, or investment team experience gained from working in a high-quality financial firm selling ETFs are preferred.
Relevant client relationships a preference.
Understanding of product set – preferably ETFs, mutual funds, and mandate business.
Experience with index or index linked fund products and/or structured/derivatives products is an advantage.
Skills / Other Personal Attributes Required:
Good team player.
Always be curiosity.
Excellent verbal and written communication skills.
Good for English writing and speaking
Strong team player, who is able to collaborate credibly internally in order to leverage the Firm’s resources locally as well as globally.
Ability to conduct complex analysis and present data in a meaningful way.
Detail orientation.
Working well under pressure.
Open-minded, flexible, and willing to listen for other people’s opinions.
Interpersonal skills necessary to effectively communicate over the phone with a variety of individuals at all technical levels are required.
License / Registration / Certification:
Securities Investment Trust and Consulting Professional License
Senior Securities Specialists
Personal Insurance Representative for Foreign Currency Receipts
Personal Insurance Representative License
Qualification Examination for Securities Investment Trust and Consulting Regulations (including professional ethics rules)
Certification Test for Structured-Product Sales Personnel
Qualification Examination for the Trust Specialist
How to Apply:
Apply for the role directly here or at Invesco Careers: Careers at Invesco | APAC.
To know more about us:
About Invesco: https://www.invesco.com/corporate/en/home.html
About our Culture: https://www.invesco.com/corporate/en/about-us/our-culture.html
About our CR program: https://www.invesco.com/corporate/en/our-commitments/corporate-responsibility.html
【About DBS】
星展銀行總部位於新加坡,是亞洲最大的金融集團之一。
2023 年購入台灣花旗消費金融業務後,星展即成為台灣最大外商銀行。目前已蟬聯五年「世界最佳銀行」的獎項,以及「全球最佳數碼銀行獎 」,打破傳統金融銀行的框架,持續發展數位創新,集團文化也鼓勵員工個人發展,提供豐富的資源和福利。
目前我們正在召集一群優秀的 Taiwan Tech Talents,與我們一起成為 Best Bank for a Better World!
【您可能會想知道】
- 入職即享年假最低 14 天+1 天 Birthday Holiday (未滿一年按比例計算)
- 到職即享萬元的彈性補助金,可用於家族旅遊或多項生活津貼
- 完整教育訓練及線上學習資源
- 此職位為後勤單位處理交割作業與支援相關專案
【職位內容】
1. Processes Corporate Settlement.
處理公司結算。
2. Manage Settlement of GFM products, reporting and risk management with a proven track record of automating processes and implementing quality improvements.
管理全球金融市場(GFM)遠期外匯及衍生性金融產品的結算、報告和風險管理,並在流程自動化和實施品質改進方面擁有良好記錄。
3. Expertize in reviewing FX supporting documents.
擅長審核外匯(FX)證明文件。
4. Ensures completeness and accurateness of daily operations.
確保日常營運的完整性和準確性。
5. Support supervisors to identify key issues and self-develop MIS analytics at ad-hoc base.
支援主管識別關鍵問題,並自主開發即時管理資訊系統(MIS)分析。
6. Reconciliation between in-house system and counterparties, GL and Nostro.
執行內部系統與交易對手、總帳(GL)和代理行帳戶(Nostro)之間的核對。
7. Support country automation initiatives and drive progress with stakeholders.
支援自動化作業流程優化,並與相關單位合作推動進度。
IP&A部門正在尋找一位具備熱情與實力的 Business Management Support 夥伴,與我們一同打造高效、順暢的理財交易體驗!
工作內容涵蓋瞬息萬變的市場交易需求,讓您隨時洞悉市場動態,精準的報價、快速的詢價回應,確保每筆交易都完美達成;同時也能透過日常營運 (BAU) 作業,包含作業流程優化與文件審查等,穩固業務基石,是驅動業務運轉的關鍵力量。
我們誠摯歡迎擁有分行理財服務或 Wealth Management Operation經驗的人才,加入我們的團隊!
We're seeking passionate and skilled Business Management Support Specialist for our Investment Products & Advisory Department to build an efficient, seamless wealth management transaction experience with us. Your role will involve navigating dynamic market demands, delivering precise quotes and rapid inquiry responses, to ensure flawless execution. You'll also fortify our operations through essential BAU tasks, acting as a pivotal driver of our business. We eagerly welcome individuals with experience in Branch Financial Services or Wealth Management Operations to become a key part of our team!
Job Responsibilities:
1. Ensure efficiency, timeliness, completeness, and accuracy of daily operations.
2. Control and manage time effectively and support teamwork.
3. Collaborate with Project Manager to support and enhance procedures for joint targets, such as new initiative projects and campaigns.
4. Support the Product team in monitoring risks, corporate action events, launches, and promotions, and ensure timely compliance with local and regional guidelines.
5. Maintain and provide analysis reports, regulatory reports, and customer advice.
6. Adhere to all relevant external regulatory and internal compliance requirement.
At HSBC, our purpose is opening up a world of opportunity and by joining our team, you can be part of something bigger. We are committed to removing barriers and ensuring careers at HSBC are inclusive and accessible.
International Wealth and Premier Banking (IWPB) provides a leading premium proposition through Premier Banking and, together with our Global Private Bank, are present across the world’s most important markets, booking centres, and corridors most valued by our clients. Our wealth offering is further enhanced through our best-in-class manufacturing capabilities in Asset Management and Insurance. HSBC Asset Management, the investment management business of the HSBC Group, invests on behalf of HSBC’s worldwide customer base of retail and private clients, intermediaries, corporates and institutions through both segregated accounts and pooled funds. HSBC Asset Management connects HSBC’s clients with investment opportunities around the world through an international network of offices in 23 countries and territories, delivering global capabilities with local market insight.
People responsibility: N
Report to: VP, Investment Support Lead
Job Contents:
- 報表彙整與管理
- 熟悉財金相關系統操作如Bloomberg, CMoney等
- 熟悉投信法規
- 擅長跨部門協調溝通
- 具備財金投資相關專業知識