Zai
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Fintech • Payments • Software • Financial Services
Supports end-to-end customer payment transactions, including reconciliation, investigation of unreconciled items, payment instruction processing, foreign exchange execution, liquidity management, and banking partner coordination. Maintains compliance, accuracy, SLAs, and KPIs while communicating with customers and internal teams. Also supports product testing, automation improvement initiatives, and FX market opening and closing activities.
