Central Wealth Securities Investment Limited
Customer Service Officer (Causeway Bay) (Double pay)
This week
Job Duty
We are looking for a self-motivated, focused individual with strong compliance knowledge base to oversee the SFC regulated activities of our securities brokerage debt capital and fund management businesses. Job Description Responsibilities • Handle individual client's account opening, inspection of new accounts' documentation and data inputs • Perform client onboarding review, KYC and AML checking in accordance with internal guidelines and regulatory requirements • Handle existing clients' account maintenance requests and ensure clients' enquiries and transactions are properly handled • Liaise with internal departments to ensure a smooth client onboarding process • Assist in daily-operation and prepare the related documents • Monitor clients' orders and answer client's enquiries • Undertake any ad hoc projects as assigned by supervisor Requirement • Diploma holder in Finance or Business related disciplines • 1-2 years relevant experience in securities • Qualify to be Representative of RA 1 • Hardworking, responsible and attention to details • Proficient in Microsoft Office (Words, Excel, PowerPoint, Outlook) and English & Chinese word-processing • immediately available is preferred If you are interested in joining us, please send your full resume and application letter indicating your date of availability, present and expected salary by e-mail to [email protected] or just click the apply button.
Allowance & Benefit
Other
Double Pay Medical insurance Annual leave
Work Address
銅鑼灣
Timetable
Mon to Fri
09:00 - 18:00
Requirement
Education:
Higher Diploma / Certificate
Skill:
Chinese Word Processing
Microsoft Excel
Microsoft Word
Language:
Spoken Skill
cantonese
english
mandarin
Written Skill
chinese
english
About Company
Central Wealth Securities Investment Limited is a participant of the Stock Exchange of Hong Kong Limited and a licensed corporation under the Securities and Futures Ordinance (“SFO”) to engage in Type 1 (dealing in securities) and Type 4 (advising on securities) regulated activities. It principally engaged in securities brokerage and futures dealing business, margin financing services and equity and debt capital market services in relation to underwriting and placement of securities and bonds.