logo of antgroup

蚂蚁金服蚂蚁国际-资金运营专员-客户资金中心

社招全职5年以上金融类-资金管理地点:上海 | 杭州状态:招聘

任职要求


1. 本科及以上学历,5年以上银行、券商、支付或相关金融机构资金结算、清算、对账或者中后台等相关经验
2. 熟悉外汇结算及流动性管理、对账操作优先,有大型跨境业务支持经验者优先
3. 具备较强的流程执行能力和细致认真的工作态度,有一定风险合规意识
4. 具备较强的数据处理和项目对接经验,优先考虑有系统自动化项目经验
5. 具备良好的沟通能力和团队合作能力和承压能力
6. 英语读写良好,能作为工作语言者优先

1. Bachelor’s degree or above, with at least 5 years of experience in fund settlement, clearing, reconciliation, or middle/back office roles in banks, brokers, payment companies, or other financial institutions
2. Familiarity with FX settlement, liquidity management, and reconciliation operations is preferred; experience supporting large-scale cross-border business is a plus
3. Strong process execution capability and attention to detail, with basic risk and compliance awareness
4. Solid experience in data processing and project coordination; candidates with system automation project experience are preferred
5. Good communication, teamwork, and stress management skills
6. Good command of written and spoken English; ability to use English as a working language is preferred

工作职责


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
包括英文材料
学历+
相关职位

logo of antgroup
社招5年以上金融类-资金管理

1. 负责全球资金收付款业务的运维工作,包括异常诊断,疑问解答,保障对客户的资金收付款的服务 2. 根据既定风险模型,能够及时识别,发现交易异常情况并及时处置,并基于数据分析,提供更优的解决方案,并持续优化风险模型 3. 负责提升收付款业务运维的智能化能力,提效运维处置效率 4. 负责对接业务团队,分析及承接运维需求并给出对应解决方案,协同其他团队合作,解决客资资金类问题

更新于 2025-06-19
logo of antgroup
社招5年以上金融类-资金管理

1. 负责全球资金收付款业务的运维工作,包括异常诊断,疑问解答,保障对客户的资金收付款的服务 2. 根据既定风险模型,能够及时识别,发现交易异常情况并及时处置,并基于数据分析,提供更优的解决方案,并持续优化风险模型 3. 负责提升收付款业务运维的智能化能力,提效运维处置效率 4. 负责对接业务团队,分析及承接运维需求并给出对应解决方案,协同其他团队合作,解决客资资金类问题

更新于 2025-09-28
logo of jd
社招1年以上财务运营岗

资金执行:负责区域资金结算执行、资金补充、信用卡账单及托收等日常资金操作; 手册优化:负责制定适用于资金中心的资金操作流程及操作手册; 问询答疑:针对业务关于资金收付款日常问题做一道问询服务。 Fund Operations Execution: Handle daily treasury operations including regional fund settlements, liquidity replenishment, credit card billing and collection processing Operation SOP Build Up: Develop and maintain standardized operating procedures (SOPs) for the treasury center Continuously optimize fund operation manuals and workflow documentation Business Support: Serve as primary contact for business units' payment/receipt inquiries Provide timely resolution to routine treasury-related operational questions

更新于 2025-08-27
logo of didi
社招1-3年运营

-负责国际支付场景下渠道和商户的清结算、资金对账,按照要求准确及时的完成资金运营相关工作; -对渠道异常、对账差错进行独立分析和差异处置,周维度汇总对账结果,定期总结汇报; -配合项目上线进度,从业务角度对工具、数据进行测试和验证; -针对各渠道对账梳理运营SOP,使流程标准化;

更新于 2025-07-22