Design a liquidity management platform tailored to Ant International's asset-liability structure and liquidity risk management framework, factoring in international foreign exchange regulations, industry regulatory trends, internet-specific requirements, and business growth objectives.
Apply industry best practices to plan and design the liquidity management platform; partner with the Treasury team to build an intelligent global cash management and allocation network that accurately reflects and supports Ant's global funding operations.
Lead market, competitive, and feasibility analysis for the liquidity management platform within the international treasury ecosystem; clarify business requirements, design product solutions, and author Product Requirement Documents (PRDs).
Work closely with engineering teams and project managers to drive requirement implementation; oversee development progress from design through go-live operations, taking ownership of delivery timelines and quality
Qualifications
Experienced in banking or international payment institution clearing and settlement operations. Familiarity with SWIFT and major domestic clearing systems
Having a deep understanding of international clearing networks such as SWIFT, SEPA, ACH, Fedwire, and RTGS, along with hands-on experience in channel integration projects, will be a strong plus.
Skilled in customer-focused product design, with an understanding of internet finance service processes, business architecture design, and unique business policies.
Strong logical thinking and communication skills, adept at cross-departmental and cross-regional coordination. Data-savvy with a holistic view of product development.
A collaborative team player with high resilience, a strong sense of responsibility, and a deep commitment to ownership.
Preferably, possesses some business or system architecture capabilities.