顺丰国际运营专员
1. 负责联合贷项目的资产交割、资金清算和日常运营工作,具备扎实的支付结算知识和丰富的贷款产品运营管理经验,确保资金交割和清算及时准确 2. 负责梳理并持续优化联合贷项目的SOP,推动运营有关需求的线上化和自动化 3. 负责跨境融资产品的贷前、贷中、贷后的运营支持,包括但不限于客户开户、数据采集和信息核验、手工还款、对账等 4. 与风控、产品团队协同,不断优化运营操作流程和作业效率、防范操作风险
1.负责各种物流部新业务模式和商务调整的计费运营工作,链接结算方案、应收应付和核算,负责业务的结算运营和风险管理; 2. 对计费准确性负责,标准化的结算运营机制建设,优化计费流程,提升质量和效率; 3. 计费运营团队的日常管理、成长和激励。
1. 负责日常外汇及流动性资金清算、资金对账等操作,保障交易资金流转的时效和准确 2. 协助完善和执行资金运营相关流程与操作规范,支持新业务及渠道上线 3. 参与外汇流动性资金对账、交易后相关系统的日常维护及优化,推动自动化和系统流程提升 4. 协助识别资金运营风险并推进风险监控措施,提升运营合规与安全性 5. 跨部门对接外汇、流动性、财务、风险等团队,确保资金交易流畅闭环 1. Responsible for daily FX and liquidity fund settlement, reconciliation, and related operations to ensure timely and accurate transaction fund flows 2. Assist in improving and executing cash operation processes and procedures, supporting the launch of new businesses and channels 3. Participate in daily maintenance and optimization of post-trade and reconciliation systems for FX liquidity, and help drive process automation and system enhancements 4. Assist in identifying operational risks and implementing risk monitoring measures to improve compliance and operational security 5. Coordinate with teams in FX, liquidity, finance, and risk management to ensure smooth and end-to-end fund transactions