资金账户管理专家-国际现金管理
Core
Manage international cash accounts, liaise with global banks, and facilitate cross-border fund settlements and compliance.
Role type
Senior IC treasury operations specialist (international cash management)
Builds
Global banking relationships and international fund settlement workflows
Domain
Finance + International Banking
Required skills
International banking account compliance, cross-border fund settlement, foreign exchange regulation research, bank relationship management, project coordination
Preferred skills
Experience with innovative banking products, financial/economics background
Technologies
N/A
Responsibilities
Liaise with domestic and international banks to maintain relationships; Handle account opening, closure, information changes, and online banking maintenance; Conduct research on foreign exchange controls to assist international settlements; Propose risk control and process optimization for account management; Coordinate project-related work for opening and maintaining overseas accounts
Seniority
Senior, hands-on IC