Key Responsibilities:
- Monitor and update the portfolio of bonds and REITS such as prices, returns, issuer’s performance
- Monitor economic, industry and financial market trends
- Assist to manage surplus cash and short-term investments within delegated authority
- Assist in report preparation to Investment Committee
- Provide admin support to Finance Director and/or Investment Manager
- Ensure accurate accounting entries and transactions
- Assist in treasury functions including monitoring Fixed Deposits portfolio
- Liaise with banks on all investment related, treasury and cash related matters
- Any other duties as assigned
Job Holder Requirements:
- Qualification:Minimum Degree/ Diploma in Accountancy or related
- ExperienceMinimum 3 years of relevant experience in accounting
Minimum 2 years of corporate treasury/finance position
- Other Knowledge / Skills / Attributes:Treasury and investment experience is an advantage
Good interpersonal and oral skills in English and Chinese.
Organised and meticulous.
Committed team player with excellent communication skills, has initiative and good work ethics.
Good analytical and problem‐solving skills.
Proficiency with Microsoft Word and Excel [ especially on advanced excel, Power Pivot & VBA, power BI etc.]