Job Description
Monitor and handle operational anomalies in the withdrawal process, identify root causes, and drive cross-departmental solutions. Manage multi-chain on-chain asset liquidity, execute daily asset consolidation, balance monitoring, and anomaly reporting. Support token migration events by completing asset reconciliation, position verification, and collaboration with project teams. Coordinate internal and external resources to replenish assets when liquidity gaps are identified. Oversee liquidity deposit requirements for newly integrated networks, track compliance, and conduct periodic reviews. Maintain daily fund reports, identify anomalies, and escalate issues as needed. Collaborate with operations, data, and technical teams to resolve asset-related matters.
Key Responsibilities
- Monitor and resolve operational issues in withdrawal processes
- Manage multi-chain asset liquidity and daily consolidation
- Support token migration through asset reconciliation
- Coordinate asset replenishment for liquidity gaps
- Ensure compliance for new network integrations
- Maintain and analyze daily fund reports
- Collaborate with cross-functional teams on asset solutions
Job Requirements
- 1-3 years of experience in fund operations, exchange operations, or blockchain asset management
- Familiarity with on-chain mechanisms (hot/cold wallets, asset consolidation, on-chain transactions)
- Ability to troubleshoot withdrawal failures across liquidity/on-chain/data/security dimensions
- Proficiency in Excel/Google Sheets for reconciliation and reporting
- Fluent in English and Chinese as working languages
- Strong sense of responsibility and risk judgment
Preferred Qualifications
- Knowledge of crypto custody platforms like NOAH or Fireblocks
- Experience collaborating with quant trading, on-chain engineering, or compliance teams
- Understanding of token economics and listing processes
- SQL skills for data queries
Compensation
14-month salary package


