蚂蚁金服蚂蚁国际-Treasury Manager - Bettr Liquidity Management-国际财务
任职要求
1. Minimum a Bachelor degree in finance, banking, accounting, business, etc. Master degree is a plus. 2. Minimum 6 years work experience in top corporates/ banks or non-bank financial institutions, with a focus on cash management or liquidity management. 3. Solid economics and finance background, with deep understanding in credit, foreign exchange, liquidity and funding solutions. 4. Strong self-motivation and entrepreneurship with a hands-on, structured, accurate and result oriented working style. 5. Comfortable with ambiguity and uncertainty. 6. Adaptive to a fast-changing working environment. 7. Excellent interpersonal skills and experience of working with cross-functional teams. 8. Fluency in English and Mandarin (written and oral). 9. Experience with system implementation. Knowledge in big data and AI is a plus.
工作职责
The business: Bettr is the digital lending business under Ant International, focused on providing inclusive financial services to micro, small and medium enterprises (MSMEs) in strategic markets through partners via embedded finance. By leveraging its innovation-led tech like AI and privacy-preserving computing to enable secure financing solutions, Bettr enhances the accessibility and ease of financing, unlocking growth opportunities for MSMEs. The role: The Treasury Manager - Bettr Liquidity Management is a key member of the business treasury team, looking after cash and liquidity management matters for the Bettr business. Key responsibilities: 1. Establish and improve liquidity management structures to support the Bettr business. 2. Manage cash flow forecast and ensure funding is provided to Bettr in a timely and efficient manner. 3. Drive negotiation of treasury contracts, in parcicular in relation to cash management, credit facility etc. 4. Overall manage available funding channels and costs for Bettr. 5. Ensure Bettr cash and liquidity are managed in line with A&I Treasury and internal control standards. 6. Drive digital transformation and automation of liquidity management processes and systems.
The business: Bettr is the digital lending business under Ant International, focused on providing inclusive financial services to micro, small and medium enterprises (MSMEs) in strategic markets through partners via embedded finance. By leveraging its innovation-led tech like AI and privacy-preserving computing to enable secure financing solutions, Bettr enhances the accessibility and ease of financing, unlocking growth opportunities for MSMEs. The role: The Bettr Fund Operations Manager is a key member of the business treasury team, looking after all fund operation matters for the Bettr business. Key responsibilities: 1. Manage day-to-day fund settlements for Bettr, including loan disbursements and internal funds transfers. 2. Open and maintain account structure to support Bettr growth roadmap, including bank accounts, VA, third party payment accounts etc. 3. Execute system host-to-host connection between Bettr accounts and Treasury system. 4. Handle inquiries related to accounts, loan disbursements, repayments etc. 5. Ensure Bettr fund operations are managed in line with A&I Treasury and internal control standards. 6. Drive digital transformation and automation of Treasury operation processes and systems.
The (Senior) Treasury Manager will be a critical member of the treasury team of Ant International. The role will serve as Treasury subject matter expert and the go-to person for relevant internal and external stakeholders. The successful candidate will gain exposure to cash management, funding, foreign exchange, financial risk management activities of Ant International, supported by advanced treasury technology and data capabilities. Key responsibilities: 1. Drive design and implementation of comprehensive treasury solutions aimed at supporting the expansion of global businesses and operations, with a focus on foreign exchange, fund plan, cross border settlement etc. 2. Lead and manage negotiations of treasury contracts (credit facility, cash management etc.) with banks and external counterparties, ensuring optimal terms and conditions align with the company's strategic objectives and standards. 3. Execute day-to-day treasury transactions, including bank guarantees, foreign exchange, financial derivatives etc. 4. Collaborate closely with financial risk management, internal control, and compliance teams to ensure that all treasury activities and solutions conform to internal policies as well as relevant external regulations and laws. 5. Champion the digital transformation and automation of treasury processes and systems, leveraging technology to enhance efficiency and accuracy in transaction execution.