Job Description :
Job Duties & Responsibilities:
* Handle time deposit transactions including new, renewal and uplift settlement, as well as enhanced deposits through our in-house systems
* Process and verify customer instructed inward cheque clearing and issue batch electronic cheque via internal systems
* Compile various MIS and other regular reports to HKMA when necessary
* Verify signature specimens and signing authority according to customer instructions
* Provide back-up support to counter service