RM, Liabilities, SME Banking (Licensed) (RG0239)
DBS Bank · Hong Kong
Apply nowJob Description
• Core Responsibilities: • Strategic Growth & Portfolio Management: Drive the growth of a substantial deposit portfolio for institutional clients aligning with the bank's overall strategy and business plans. This includes a specific focus on attracting and managing funds from institutional investors / asset managers, with a strong emphasis on revenue generation through cross-selling and fee income opportunities. • Client-Centric Solutions & Penetration: Proactively identify and address customer needs through in-depth product and industry knowledge. Deliver high-quality service and a comprehensive suite of corporate banking services and products to enhance product penetration and wallet share, actively seeking opportunities to generate fee incomes through cross-selling. • Tailored Corporate Banking Services: Develop and implement bespoke, one-stop corporate banking solutions for target companies, effectively meeting their diverse banking requirements and maximizing revenue generation through strategic cross-sell initiatives. • Cross-Functional Collaboration & Campaign Management: Foster strong collaboration with internal business partners, including Global Transaction Services (GTS) for Cash & Trade Services, Global Financial Markets (FX, Wealth & Structured Products and Capital Markets) and Insurance Teams. This involves contributing to idea generation, executing campaigns, and managing end-to-end performance, with a clear focus on driving revenue and fee income growth. Furthermore, champion 1-bank collaboration and drive regional connectivity across different DBS markets to leverage group synergies and expand business opportunities. • Private Fund Network & Relationship Management: Leverage existing networks and cultivate new relationships within the private fund space, including Private Equity (PE), Venture Capital (VC), and Hedge Funds, to maximize opportunities for establishing and nurturing relationships with high-net-worth corporate clients, intermediary agents, and institutional investors, ultimately driving deposit growth and fee incomes. • Risk Management & Ethical Conduct: Assume full accountability for all aspects of risk management, including Know Your Customer (KYC) and Anti-Money Laundering (AML) processes. Maintain an expert-level understanding of Customer Due Diligence (CDD) and proactively collaborate with internal teams for rigorous account conduct monitoring. The candidate is expected to demonstrate unwavering business integrity and strong ethics in all professional engagements. • Regulatory / Licensing Compliance: • Regulated Activities Execution: Perform regulated activities specified under the Securities and Futures Ordinance (SFO), specifically Type 1 (Dealing in Securities) and Type 4 (Advising on Securities). • Regulatory Adherence: Ensure strict compliance with all registered capacities and conditions imposed by regulatory bodies such as the Hong Kong Monetary Authority (HKMA) and the Securities and Futures Commission (SFC). This includes adhering to the applicable requirements of the Code of Conduct for Persons Licensed by or Registered with the SFC.
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