公司简介
About Citi China
Citi first established an office in China in May, 1902, in Shanghai. Today Citi is among the premier foreign banks operating in China, offering broad product range in China. On 2 April 2007, Citibank (China) Co., Ltd. was officially launched as one of the first foreign invested banks locally incorporated in China. On 23 April 2007, Citibank (China) Co., Ltd. became one of the first foreign invested banks to launch RMB services to Chinese residents.
Citi currently has branches in Beijing, Shanghai, Guangzhou, Shenzhen, Tianjin, Chengdu and so on operating corporate banking business and a considerable number of consumer bank outlets in these cities. With operations in more than 100 countries around the world, Citi is one of the most global foreign banks in China.
关于花旗中国
花旗在中国的历史可追溯至一九零二年五月。如今,花旗已是中国的顶尖外资银行之一,为客户提供广泛的金融产品。2007年4月2日,花旗银行(中国)有限公司正式开始运营,成为首批成功转制法人银行的外资银行之一;2007年4月23日,成为首批正式开展中国境内公民人民币业务的外资银行之一。
目前,花旗分别在北京、上海、广州、深圳、天津和成都等城市设有分行,开展企业银行业务;并在这些城市设有多家零售银行营业网点。花旗在全球的100多个国家开展业务,是中国最具全球性的外资银行之一。
Our business is expanding rapidly and we are looking for highly qualified, ambitious individuals wishing to progress to the highest levels of their personal career development in Citibank.
We provide challenging and rewarding career opportunities with the vacancy:
Successful candidate will be provided with superior career development opportunities and competitive remuneration package. If you are interested in the position please send your CV (English & Chinese) to us.
(Please indicate position applied & "51Job" on the envelope)
本银行谢绝来电来访。应聘者如在一个月内未被约见,其个人简历将会用作未来参考,恕不退还。
公司网站:http://www.citibank.com.cn
http://www.citigroup.com
地 址:上海市浦东陆家嘴金融贸易区,花园石桥路33号,花旗集团大厦32楼
邮政编码:200120
联 系 人:花旗银行人力资源部
电子邮箱:hr.shanghai@citigroup.com
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职位名称:O&T- RMB Operations Head, Shanghai Branch
职位描述:
ACCOUNTABILITIES
Manage daily corporate customers RMB cash processing for Shanghai branch
Support Country Cash Ops Head in managing RMB cash operations for all the other branches.
Be responsible and work with other operations and Compliance in handling regulator's on-site and off-site examinations and regulatory reporting
Work closely with business groups in new product implementation and customer services.
Work with Technology and branch operations in process improvement and system enhancements
Support business expansion and opening of new branch operation and services.
Drive standardization of operation processing and controls across all branches
Drive process improvements projects to continue to improve operation efficiency and effectiveness
Prepare operation manuals for cash services/products for Shanghai and other branches
Implement and reinforce Citigroup policies and local regulatory requirements
liaise and maintain good communication with local regulators for operation related processing.
Strong discipline in following rules with zero tolerance to non-compliance of policies & regulations.
KEY REQUIREMENTS
Min 8-10 years of banking experience with at least 5 years in Cash Operation in senior managerial position.(foreign banks working experience preferred)
Experience in dealing with PBOC/CBRC regulators
Experience in people management and lead/coordinate operation staff in various branches.
Excellent communication skills in Mandarin and English (Reading, Writing and speaking)
In-depth knowledge and understandings of CBRC and PBOC regulation for RMB are critical
Good knowledge of banking operation for RMB cash products
Able to work independently with all levels
Good problem solving skills
Strong processing and compliance controls
Matured, Analytical, and dedicated
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职位名称:Treasury Operations Officer (Shanghai)
职位描述:
JOB DUTIES:
1.Checker for banking products (FX, OTC FX, Money Market, Bond, Premium Deposit, FX option and Interest Rate Swap );
2.Participation in daily reconcilation/control process;
3.Pariticpation in deparmental process improvements and control issues;
4.Key player in Treasury Ops'projects
Qualification & Skill required:
1.5-7 years working experience in Treasury Operations field, preferably in a foreign bank or having overseas working experience.
2.Senior auditor who has auditing experience with banking industry is also preferred.
3.Strong accounting knowledge will be value-added.
4.Excellent understanding of Operations and strong control sense.
5.Strong accounting knowledge
6.Good understanding of treasury products, e.g., FX, MM, FX Option and Structured Deposits
7.Good Team Spirit