Global Financial Operations Platform Director
Okx
Hong Kong
Who We Are
About the Opportunity
What You Will Own
- Product strategy and multi-year roadmap for the financial operations platform.
- The canonical transaction and financial-event model across fiat and digital assets.
- Client and corporate asset subledgers, balances, positions, journals and transaction histories.
- Settlement and asset-movement workflows across banks, payment providers, custodians, wallets, blockchains and trading venues.
- Multi-way transaction- and balance-level reconciliation across operational sources, internal records and the finance system.
- Exception management, operational dashboards, control evidence, audit trails and management reporting.
- Build-versus-buy assessments, strategic vendors, migration, backfilling, parallel runs and legacy-process retirement.
First Year Outcomes
- Document the end-to-end transaction, asset and accounting architecture.
- Establish an approved platform roadmap and target operating model.
- Define the canonical financial-event, subledger and reconciliation data model.
- Deliver systematic reconciliation for the highest-risk fiat and digital asset flows.
- Introduce centralized exception ownership, ageing, escalation and evidence.
- Reduce spreadsheet dependency and engineering-dependent investigations.
- Improve alignment between operational records, customer liabilities, external asset records and the finance system.
- Deliver a credible path from daily controls to near-real-time monitoring for material flows.
What You’ll Be Doing
- Product Strategy and Architecture - Establish the target vision, operating principles and roadmap for ledger, settlement, reconciliation and client asset controls. - Map end-to-end funds and asset flows across deposits, withdrawals, trades, fees, transfers, financing, staking and other relevant products. - Partner with Architecture and Engineering to define scalable services, APIs, event schemas, data contracts, system boundaries and resilience requirements. - Make evidence-based build-versus-buy decisions and prevent fragmented point solutions from becoming the operating model.
- Ledger and Books and Records - Define requirements for double-entry ledgering, journals, balances, positions and transaction traceability. - Establish clear lineage from the originating operational event through the subledger and financial reporting environment. - Ensure the platform handles reversals, corrections, fees, foreign exchange, internal transfers, failed transactions, duplicated events and delayed events. - Work with Finance to maintain controlled alignment between operational books and records and the ERP or general ledger.
- Settlement and Reconciliation - Design workflows for fiat and digital asset settlement, including cut-offs, confirmations, status management, retries and failure handling. - Build automated multi-way reconciliation across trading engines, payment systems, banks, custodians, wallets, blockchain records, subledgers and ERP systems. - Define configurable matching rules, tolerances, materiality levels, frequencies and escalation thresholds. - Create near-real-time detection for missing, duplicated, delayed or incorrectly recorded transactions where feasible and proportionate.
- Operational Tooling and Controls - Build operator interfaces that support investigation and resolution without routine dependence on engineering queries or spreadsheets. - Incorporate maker-checker approvals, role-based access, segregation of duties, evidence retention and complete audit histories. - Define monitoring and alerting for data completeness, balance integrity, settlement failures, reconciliation breaks and control execution. - Support audit, regulatory examination and financial-reporting requirements with reproducible system evidence.
- Delivery and Stakeholder Leadership - Lead discovery, requirements definition, prioritization, testing, rollout and post-launch improvement. - Write clear product requirements, workflow diagrams, data definitions, control requirements and acceptance criteria. - Coordinate operational readiness across Product, Engineering, Operations, Finance, Treasury, Custody, Risk and Compliance. - Lead data migration, backfilling and parallel-run validation before replacing existing controls or processes. - Communicate roadmap priorities, risks, dependencies and measurable outcomes to senior management.
What We Look For In You
- Eight or more years in fintech, financial services, digital assets, brokerage, custody, payments or capital-markets technology.
- Five or more years of product-management, platform leadership, technical program leadership or comparable engineering experience.
- Demonstrated delivery of a ledger, reconciliation platform, settlement system, payments infrastructure, brokerage books-and-records platform or digital asset back office.
- Strong understanding of transaction lifecycles, balances, positions, journal entries, reconciliation and financial controls.
- Technical fluency with APIs, event-driven systems, data schemas, batch and streaming pipelines, integrations, idempotency and failure handling.
- Ability to work directly with transaction-level data; practical SQL proficiency is strongly preferred.
- Track record of delivering mission-critical systems in regulated or control-intensive environments.
- Strong written communication, structured problem-solving and senior stakeholder-management skills.
Nice to Haves
- Experience with both fiat and digital asset transaction flows.
- Knowledge of blockchain transactions, wallets, custodians and on-chain settlement.
- Experience integrating with ERP systems such as Oracle, SAP, NetSuite or Microsoft Dynamics.
- Familiarity with client asset segregation, safeguarding, books and records or comparable regulatory requirements.
- Experience with high-volume, continuously operating financial platforms.
- Knowledge of double-entry accounting and financial-close processes.
- Experience replacing manual reconciliation with automated platform capabilities.
- Experience assessing or implementing platforms such as Crypto or comparable ledger, reconciliation and digital asset accounting solutions.
Perks & Benefits
- Competitive total compensation package
- L&D programs and Education subsidy for employees' growth and development
- Various team building programs and company events
- Wellness and meal allowances
- Comprehensive healthcare schemes for employees and dependants
- More that we love to tell you along the process!
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