1. Fund Operations Management:
Execute domestic and cross-border fund transactions, monitor liquidity positions, and generate daily reports. Oversee bank account lifecycle management (opening/closing/modification), ensuring AML compliance, foreign exchange regulation adherence, and optimal fund security/liquidity.
1. End-to-End Contract Governance:
Lead contract drafting, legal review, execution, archival, and ledger maintenance. Standardize contract templates and workflows, resolve negotiation bottlenecks, and ensure compliance with regulatory and operational requirements.
1. Project Cost Control:
Review bid pricing, material/equipment costs, and project settlements. Participate in bid evaluations and change order assessments to mitigate budget overruns and financial risks.
1. Compliance & Data Integrity:
Generate fund flow reports and maintain contract databases. Support internal/external audits through documentation provision and issue resolution, ensuring financial data accuracy and regulatory alignment.
1. Global Coordination:
Collaborate with regional teams (APAC, Europe, etc.) to navigate local regulatory frameworks. Resolve cross-border fund/contract challenges and support international expansion initiatives.
1. Process Innovation & Risk Mitigation:
Streamline capital/contract workflows through continuous improvement. Identify operational vulnerabilities, implement corrective actions, and drive digital tool enhancements to boost automation and risk resilience.