Create Alert
Email me similar jobs

Treasury Specialist

Full-time

Banking & Account Management: Manage account opening, amendment, and closure processes for accounts (including but not limited to bank accounts, securities accounts, and third-party payment accounts), independently and efficiently;
resolve KYC/compliance issues;
manage global accounts and ensure their normal status, periodically clean up redundant accounts, and improve utilization.

Payment Management: Manage cross-border transaction settlement;
resolve settlement issues across multiple countries;
optimize payment routing to maximize efficiency while ensuring fund security;
maintain awareness of and compliance with AML, sanctions, and other regulatory requirements;
ensure all treasury operations strictly comply with applicable local regulations;
actively explore and implement diversified settlement solutions.

Systems & Process Development: Identify and assess manual process risks;
for issues addressable through system solutions, proactively engage with product and engineering teams to define requirements and drive optimize payment and account management workflows;
establish and refine standardized overseas treasury operating procedures.

Compliance & Internal Controls: Ensure all information and materials provided externally strictly comply with Meituan's internal management requirements and applicable local regulations;
establish robust internal control measures and effective segregation of duties to mitigate operational and fraud risks.

Other treasury work : ensure timely completion of month-end close and audit work;
establish and maintain good working relationships with bank, Securities Company, financial regulator, to ensure treasury management related work completed accurately and timely;
Collaborate closely withdomestic teams and complete other tasks assigned on an ad hoc basis.


Requirements:

Education: Bachelor's degree or above in Finance, Accounting, or a related field.

Experience: 5+ years of global treasury management experience;
candidates with a treasury management background at a multinational corporation or headquarters are preferred. Familiarity with corporate treasury processes and accounting treatments;
understanding of internal control standards for corporate treasury.

Domain Knowledge: Proficiency in international settlement;
familiarity with cash management products offered by major global banks;
understanding of foreign exchange regulations in key markets.

Skills: Strong logical thinking and analytical skills;
ability to build structured frameworks and decompose complex problems;
strong summarization skills;
effective cross-functional communication and teamwork;
proficiency in standardoffice productivity tools.

Language: Proficient in English communication.

Other: High risk-awareness with the ability to balance fund security, operational efficiency, and cost management;
ability to collaborate across time zones, adapt to frequent travel requirements, and handle urgent or unexpected business situations;
fast learner, willing to take on challenges, and resilient under pressure.


Treasury Specialist

Apply Now
Back to search page