Job ResponsibilitiesFund 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 and provide timely resolution to routine treasury‑related operational questions.Job RequirementsEducation & Background: Bachelor’s degree or above in Accounting, Auditing, Finance, or a related field.Minimum 1 year of experience in treasury/fund management; preference for candidates with experience in corporate groups or multinational banks.Skills & Competencies: Strong analytical and logical thinking, with the ability to learn quickly. Excellent communication and problem‑solving skills, with a focus on efficiency. Team‑oriented mindset with a collaborative approach.Language Requirements: Proficiency in English and Chinese for business operations. Master of any other language(s) is a plus.
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