滴滴Finance BP(Fintech)(J250526009)
任职要求
1. 本科及以上学历,熟练掌握英文沟通,能够做为工作语言;
2. 5年以上工作经验,有优秀金融科技公司财务BP经验,或优秀金融机构的资产负债管理经验;
3. 诚实正直,严谨…工作职责
1. 协助Fintech BU的预算及财务分析工作,支持上级包括但不限于: 1)建立和升级各产品盈利模型; 2)与业务负责人一起制定业务规划和财务预算; 3)观测和分析业务、财务指标执行情况,定位风险,并协同业务团队提升财务表现; 4) 持牌公司的财务管理、报表分析及监管材料的准备与报表等。 2. 协助建立流动性管理的方法、预测和机制,协助业务和财务部门提升流动性使用效率; 3. 作为业财对接的桥梁,协同财税法各职能团队,持续推动部门财务制度与机制流程的优化,提升财务管控效率,并确保财务管理规范和结果符合相关监管要求。
About Ant International With headquarters in Singapore and main operations across Asia, Europe, the Middle East and Latin America, Ant International is a leading global digital payment, digitization and financial technology provider. Through collaboration across the private and public sectors, our unified techfin platform supports financial institutions and merchants of all sizes to achieve inclusive growth through a comprehensive range of cutting-edge digital payment and financial services solutions. To learn more, please visit https://www.antglobal.com/ 1. Business partner role: to work closely with Antom Americas BD and FIBD team to address their biz goal, initiatives and deliver business results, including but not limited to pricing, market & industry research, operation improvement, ROI evaluation, project modeling, contract review, risk management and special case handling 2. Business analysis role: Provide high-quality financial analysis and commentary for monthly and quarterly performance review and rolling forecasts by merchant, to support senior management making decisions on key business development opportunities and BD business performance / achievement rate tracking 3. Support budgeting and performance appraisal process: work closely with business team, billing team, FPA, reporting and SSC for financial planning, budgeting and operation matters across all operation regions 4. Get hands-on and influence others in resolving issues and exploiting new opportunities as they arise 5. Support any other ad-hoc projects
Strategic Partnership • Develop financial models for cross-border remittance products, providing insights on pricing strategies, cost optimization, and market expansion; • Monitor FX exposure and liquidity risks, design hedging strategies to improve capital efficiency; • Collaborate with product teams to build end-to-end financial metrics (e.g. CAC, UE), enabling data-driven decision-making. Partner Management • Manage financial operations with global payout partners (e.g. Wise, Terrepay), optimize pricing strategy and routing logic; • Initiating new integration with global payout partners / banks and helping set the pricing scheme with BD team; • Develop reconciliation frameworks for agent channels, resolve discrepancies (e.g., FX rate gaps) through automated settlement systems. Budgeting & Performance • Lead annual budgeting and monthlly forecasting, analyze ROI deviations, and drive corrective actions; • Design KPI frameworks for business units, deliver monthly performance dashboards to executives; • Co-work with Mainland China team to performa the monthly closing & other booking/accounting issue.
1.Assist business team on the whole financial process, formulate and optimize financial processes and rules, provide professional financial advice and promote implementation. 2.Support financial matters for new countries/cities launch, ensure smooth business-related financial processes, and control financial risks. 3.Cooperate with professional financial teams such as accounting, tax, reporting, treasury, internal control, etc., to ensure all businesses comply with financial rules. 4.Evaluate the investment and expected return of new business, and provide financial support for business development. 5.Participate in the company's business plan related work, be responsible for the annual financial budget and rolling forecast, and conduct effective budget management together with the business. 6.Gain in-depth understanding of the business, work closely with business partners, establish an effective financial analysis system, conduct in-depth analysis of business operations, identify opportunities and indicate risks. 7.Participate in the construction of financial digitalization and put forward demands and suggestions from the perspective of analysis and monitoring.
1.Assist costomer service platform business team(mulitcountry) on the whole financial process, formulate and optimize financial processes and rules, provide professional financial advice and promote implementation. 2.Support financial matters for customer service business in new countries/cities launching, ensure smooth business-related financial processes, and control financial risks. 3.Cooperate with professional financial teams such as accounting, tax, reporting, treasury, internal control, etc., to ensure all businesses comply with financial rules. 4.Participate in the customer service platform's business plan developing, be responsible for the annual financial budget and rolling forecast, and establish budget management framwork inside country's CE business and conduct effective budget management together with the business team. 6.Gain in-depth understanding of the business, work closely with business partners, establish an effective financial analysis system, conduct in-depth analysis of business operations, providing valuable advice and measure on cost optimization. 7.Participate in the construction of financial digitalization and put forward demands and suggestions from the perspective of analysis and monitoring.