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OKX

Global Financial Operations Platform Director

Hong Kong, Hong Kong SAR · Singapore, Singapore

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hirly's read of this role

Seniority
Director
Countries
HK, SG
Work mode
On-site / unstated
First seen by hirly
1 Oct 2026

Derived automatically from the posting. Upload your resume above to see how the role scores against it.

the posting

Who We Are

At OKX, we believe that the future will be reshaped by crypto, and ultimately contribute to every individual's freedom.

OKX is a leading crypto exchange, and the developer of OKX Wallet, giving millions access to crypto trading and decentralized crypto applications (dApps). OKX is also a trusted brand by hundreds of large institutions seeking access to crypto markets. We are safe and reliable, backed by our Proof of Reserves.

Across our multiple offices globally, we are united by our core principles: We Before Me , Do the Right Thing , and Get Things Done . These shared values drive our culture, shape our processes, and foster a friendly, rewarding, and diverse environment for every OK-er. OKX is part of OKG, a group that brings the value of Blockchain to users around the world, through our leading products OKX, OKX Wallet, OKLink and more.

About the Opportunity

We are building a scalable financial operations platform to support the accurate movement, recording, reconciliation and reporting of fiat and digital assets. The Head of Financial Operations Platform will define and deliver the architecture that connects our trading, payment, banking, custody, blockchain, wallet and finance systems.

This is a senior, hands-on platform leadership role. The successful candidate will establish trusted books and records, automate settlement and reconciliation, create effective exception workflows and give Operations and Finance the tools required to maintain accurate client and corporate asset records on a daily and, where feasible, near-real-time basis.

The role owns platform capability and delivery. Client Asset Operations and Finance retain responsibility for executing, reviewing and signing off the underlying operational and accounting controls.

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 empl

Original posting on OKX's site ↗

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