人才招聘

職位搜索:

  • 任職要求:

    崗位職責

    1. 統籌繫統建設:負責場外衍生品自營及客需業務相關繫統建設,協調業務、IT及合規團隊,確保項目高質量交付。

    2. 推進中后臺自動化:落地STP(直通式處理)流程,實現損益分析、價格驗證(IPV)、抵押品管理、FRR計算及HKTR報送的自動化。

    3. 供應商管理:負責外部供應商的溝通、需求對齊及進度管控,解決合作中的技術分歧。

    4. 文檔管理:撰寫 BRDPRD 等核心文檔,確保業務邏輯精準轉化為技術需求。

    5. 合規與風控落位:確保繫統設計嚴控 SFC 監管紅線,提升自動化風控水平。


    任職要求

    1. 1. 經驗背景3-5年金融IT經驗,至少2OTC衍生品領域項目經驗。熟悉香港券商業務環境。
    2. 2. 業務實操:熟悉ISDA協議標準OTC交易生命周期(前臺成交至中后臺結算)。
    3. 3. 自動化專長:有損益歸因、保證金管理或監管報送(HKTR/FRR)等自動化繫統落地經驗者優先。
    4. 4. 項目能力:具備極強的需求拆解能力,能與開發人員深度溝通技術細節。
    5. 5. 語言要求:流利的中英文溝通及文檔撰寫能力。

    Job Description:

    1. 1. System Delivery: Lead the end-to-end lifecycle of OTC derivatives systems and ensure high-quality delivery across cross-functional teams.
    2. 2. Middle-to-Back Automation: Drive STP (Straight-Through Processing) for PnL, IPV, collateral management, FRR, and HKTR reporting.
    3. 3. Vendor Management: Manage technical specifications and delivery schedules of third-party vendors.
    4. 4. Documentation: Author professional BRDs/PRDs to translate complex business logic into technical requirements.
    5. 5. Compliance & Risk: Implement SFC regulatory requirements and automated risk controls within system architectures.

    Job Requirement:

    1. 1. Experience: 3-5 years in financial IT, with 2+ years specifically in OTC derivatives. Experience in HK brokerage preferred.
    2. 2. Business Knowledge: Proficient in ISDA standards and the full OTC trade lifecycle.
    3. 3. Automation Expertise: Hands-on experience in automating PnL, margins, or regulatory reporting (HKTR/FRR).
    4. 4. PM Skills: Strong ability in requirement decomposition and technical communication with developers.
    5. 5. Languages: Fluent in English and Chinese (spoken and written).



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  • 任職要求:

    崗位職責:

    1.    跟蹤全球先進制造產業動態,包括制造商、供應商、機器人、先進材料及相關技術公司。

    2.    主要覆蓋港股及相關市場的先進制造企業,獨立開展深度基本面研究,財務模型搭建與研究報告撰寫。

    3.    開展專題和深度研究,挖掘行業趨勢與公司價值。

    4.    參與公司調研及管理層訪談。

    5.    向國際客戶傳遞投資觀點與行業洞察。

     

    資格要求:

    1.    本科及以上學歷。

    2.    具備至少3年先進制造行業股票研究經驗(買方或賣方均可); 有產業經驗者優先

    3.    優秀中英文報告撰寫能力和表達能力


    Responsibilities:

    1.    Cover global advanced manufacturing companies, including manufacturers, suppliers, robotics, automation, advanced materials, and related technologies.

    2.    Conduct independent, in-depth fundamental research on companies, build financial models, and produce research reports.

    3.    Lead research projects on key industry themes and company-specific topics.

    4.    Participate in global company visits and management meetings (China Mainland, ASEAN, Korea, Japan, etc.).

    5.    Communicate investment insights and industry trends to international clients and internal sales teams.


    Qualifications:

    1.    Bachelor’s degree or above; CFA preferred.

    2.    Minimum 3 years of fundamental equity research experience in advanced manufacturing on buy or sell side; automation industry experience is a plus. Exceptional candidates with less experience may be considered.

    3.    Candidates with global equities research exposure are highly valued.

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  • 任職要求:

    崗位職責

    • 1.    跟蹤全球半導體產業鏈,重點關注相關產業和標的動態。

    • 2.    主要覆蓋港股及相關市場的半導體企業,獨立開展深度基本面研究,財務模型搭建與研究報告撰寫。

    • 3.    開展專題和深度研究,挖掘行業趨勢與公司價值。

    • 4.    參與公司調研及管理層訪談。

    • 5.    向國際客戶傳遞投資觀點與行業洞察。

     

    資格要求:

    1.    本科及以上學歷。

    2.    具備至少3年半導體行業股票研究經驗(買方或賣方均可); 有產業經驗者優先

    3.    優秀中英文報告撰寫能力和表達能力


    Responsibilities

    1. Cover global semiconductor supply chain companies, with a focus on Greater China, Korea, Japan, and ASEAN markets.

    2. Conduct independent, in-depth fundamental research on semiconductor companies, including building financial models and producing research reports.

    3. Lead research projects on key industry themes and company-specific topics.

    4. Participate in global company visits and management meetings.

    5. Communicate investment insights and industry trends to international clients and internal sales teams.

    Qualifications

    1. Bachelor’s degree or above; CFA qualification preferred.

    2. Minimum 3 years of fundamental equity research experience in the semiconductor sector on either buy or sell side; industry experience is a plus.

    3. Candidates with global equities research exposure are highly valued.

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  • 任職要求:

    崗位職責

    1.   FICC 項目全生命周期管理

    ·         主導券商 FICC(固定收益、外匯、大宗商品)自營交易、做市業務繫統及中后臺支撐繫統的項目規劃與交付,涵蓋需求調研、方案設計、開發落地、上線運維全流程,確保項目按時、按質、按預算達成目標。

    ·         對接前臺交易團隊(自營、做市)與中后臺部門(清算、風控、合規、財務),梳理業務需求并轉化為技術實現方案,明確繫統功能邊界(如做市報價引擎、自營頭寸管理、實時風控規則等模塊)。

    2.   繫統建設與優化管控

    ·         負責 FICC 相關繫統的升級迭代、新技術落地及架構優化項目,例如低延遲交易繫統部署、中后臺清算結算流程自動化、跨市場交易數據整合等,提升繫統性能與業務支撐能力。

    ·         協調開發、測試、運維及外部供應商(如交易所、數據服務商)資源,推進繫統集成與對接,確保與交易所、交易對手、托管行等接口適配合規性。

    3.    風險與合規管理

    ·         識別項目全流程中的技術風險、進度風險及合規風險,建立風險臺賬并制定應對預案,尤其關注 FICC 交易數據完整性、風控模型有效性等監管核心要求。

    ·         配合香港證監會(SFC)等監管機構的合規檢查,確保項目交付成果符合金融行業 IT 繫統監管規范,留存完整的項目文檔與審計痕跡。

    4.    跨團隊協作與溝通

    ·         建立前臺業務、技術團隊與中后臺支持部門的常態化溝通機制,同步項目進展、協調資源沖突,組織需求評審、里程碑驗收等關鍵會議。

    ·         撰寫項目周報、月報及復盤報告,向管理層匯報項目狀態、風險及資源需求,推動跨部門問題解決。

     

    任職要求

     1. 學歷與專業:

    本科及以上學歷,計算機科學與技術、軟件工程、信息繫統等計算機相關專業;具備金融工程、財務管理雙學位者優先。

     2. 行業與項目經驗:

    ·         5 年以上金融行業 IT 相關工作經驗,其中至少 3 年券商 FICC 業務繫統項目管理經驗,需具備自營交易 / 做市繫統或中后臺清算風控繫統的項目主導經歷。

    ·         熟悉 FICC 業務全流程:深入理解固定收益產品交易、期貨做市報價邏輯,掌握中后臺清算結算、風險計量(如 VaR 模型)、合規監控的核心機制與繫統架構。

    3. 專業能力:

    ·         精通項目管理方法論(瀑布 / 敏捷),具備 PMPPRINCE2 等專業認證者優先,能獨立制定項目計劃、管控范圍與預算,過往有大型項目交付經驗者優先。

    ·         了解 FICC 繫統技術棧:熟悉分布式架構、低延遲交易技術、主流數據庫(DolphinDBMySQL)及中間件,能與技術團隊高效對齊技術方案。

    ·         具備合規意識:熟悉香港 SFC 對券商 IT 繫統的監管要求,有配合監管審計或繫統合規改造項目經驗者優先。

    4. 綜合素質:

    ·         專業交流能力強(中文 + 英文),能應對日常商務會議與文檔溝通。

    ·         具備強抗壓能力與問題解決能力,能在市場波動或需求變更場景下保障項目推進,協調多方資源解決復雜問題。


    Key Responsibilities

    1. FICC Project Lifecycle Management

    ·         Lead the project planning and delivery of FICC (Fixed Income, Currencies, and Commodities) proprietary trading and market-making business systems, as well as mid-and-back office support systems. This covers the entire process including requirements gathering, solution design, development, implementation, and launch/maintenance, ensuring projects are achieved on time, on quality, and on budget.

    ·         Liaise with front-office trading teams (Proprietary, Market Making) and mid-and-back office departments (Settlement, Risk, Compliance, Finance etc). Analyze business requirements and design solutions; clearly define system functional boundaries (such as market-making quoting engines, proprietary position management, and real-time risk control modules).

    2. System Implementation and Optimization

    ·         Responsible for the system implementation, and architecture optimization of FICC-related systems (e.g., low-latency trading system deployment, mid-and-back office clearing and settlement automation, and cross-market trading data integration) to enhance system performance and business support capabilities.

    ·         Coordinate resources among development, testing, operations, and external vendors (such as exchanges and data service providers). Drive system integration and interface docking to ensure the compatibility and compliance of interfaces with exchanges, counterparties, and custodian banks.

    3. Risk and Compliance Management

    ·         Identify technical risks, schedule risks, and compliance risks throughout the project process. Establish risk registers and formulate contingency plans, paying particular attention to core regulatory requirements such as FICC trading data integrity and risk control model validity.

    ·         Cooperate with regulatory bodies such as the Hong Kong Securities and Futures Commission (SFC) for compliance inspections. Ensure project deliverables meet financial industry IT system regulatory standards and maintain complete project documentation and audit trails.

    4. Cross-Team Collaboration and Communication

    ·         Establish routine communication mechanisms between front-office business, technical teams, and mid-and-back office support departments. Synchronize project progress, coordinate resource conflicts, and organize key meetings such as requirement reviews and milestone acceptance.

    ·         Draft project weekly reports, monthly reports, and retrospective reviews. Report project status, risks, and resource needs to management, and drive the resolution of cross-departmental issues.

    Qualifications

    1. Education and Major

    ·         Bachelor’s degree or above in Computer Science, Software Engineering, Information Systems, or other computer-related majors; dual degrees in Financial Engineering or Financial Management are preferred.

    2. Industry and Project Experience

    ·         5+ years of IT-related work experience in the financial industry, including at least 3 years of project management experience in FICC business systems. Must have experience leading projects for proprietary trading/market-making systems or mid-and-back office clearing and risk control systems.

    ·         Familiar with the full FICC business process: Deeply understand fixed income product trading and futures market-making quoting logic; master the core mechanisms and system architectures of mid-and-back office clearing and settlement, risk measurement (e.g., VaR models), and compliance monitoring.

    3. Professional Competencies

    ·         Proficient in project management methodologies (Waterfall/Agile). Professional certifications such as PMP or PRINCE2 are preferred. Capable of independently formulating project plans and controlling scope and budget. Prior experience delivering large-scale projects is preferred.

    ·         Understand FICC system technology stacks: Familiar with distributed architecture, low-latency trading technologies, mainstream databases (DolphinDB, MySQL), and middleware. Able to efficiently align technical solutions with technical teams.

    ·         Possess compliance awareness: Familiar with Hong Kong SFC regulatory requirements for brokerage IT systems. Experience in cooperating with regulatory audits or system compliance transformation projects is preferred.

    4. Comprehensive Qualities

    ·         Strong professional communication skills (Chinese + English), capable of handling daily business meetings and documentation.

    ·         Strong ability to work under pressure and solve problems. Able to ensure project progression amidst market volatility or requirement changes, and coordinate multi-party resources to solve complex issues.

     

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  • 任職要求:

    崗位職責:

    - 參與設計和開發新結構化產品,協助前臺團隊分析客戶需求并制定定制化解決方案。

    - 牽頭準備相關產品文本和內部文件,開展結構化產品的估值和定價分析,評估其回報和風險狀況。

    - 統籌結構化產品的全生命周期運營管理,協調前、中、后臺及外部機構,確保各環節順暢執行
    - 負責新交易對手準入管理,牽頭完成開戶流程并推動ISDA等協議簽署。

    - 監督交易結算全流程,保障資金與債券清結算的準確性與及時性。推動優化 FICC 業務流程,提升運營效率。


    要求:

    金融、數學、統計、計算機科學、法律或相關領域的學士學位或以上學歷。

    至少3年FICC 結構化產品管理或交易支持實際經驗。

    熟悉結構化產品估值/定價模型和運營流程;了解常見 FICC 產品的交易和結算流程。

    了解場外衍生品框架協議;有結構化產品運營經驗者優先。

    中英文書面和口頭表達能力優秀。


    Job Duties:

    Participate in the design and development of new structured products, supporting the front office team in analyzing client needs and formulating customized solutions.

    - Lead the preparation of relevant product documentation and internal files, conduct valuation and pricing analysis for structured products, and assess their return and risk profiles.

    - Oversee end-to-end operational management of structured products, coordinating with front, middle, back office, and external parties to ensure seamless execution across all stages.

    - Manage new counterparty onboarding, lead the account opening process, and facilitate the signing of agreements such as ISDA.

    - Supervise the entire transaction settlement process to ensure accurate and timely clearing and settlement of funds and securities.Drive the optimization of FICC business processes to enhance operational efficiency.


    Requirements:

    Bachelor's degree or higher in Finance, Mathematics, Statistics, Computer Science,law or related fields.

    Minimum 3 years of practical experience in FICC structured products management or trading support.

    Familiarity with structured products valuation/pricing models and operational processes; understanding of trade and settlement processes for common FICC products.

    Knowledge of OTC derivative framework agreements; experience in structured products operations is preferred.

    Proficiency in both written and spoken English and Chinese.


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