Cross-Asset Operations Associate

PT Bumi Santosa Cemerlang

Jakarta Pusat

On-site

IDR 156,240,000 - 245,520,000

Full time

5 days ago
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Job summary

PT Bumi Santosa Cemerlang in Jakarta is seeking a detail-oriented operations/settlement professional for a full-time role. You will run daily settlement operations across multiple assets — covering top up, cashout, reconciliation, Jira escalation handling, CDD and Edd Process, withdrawal process and reporting to regulators.

The role requires high accuracy, discipline with daily deadlines, and the ability to work across several systems.

Qualifications

  • Bachelor’s degree (Economics, Accounting, Management, or related field).
  • 1–3 years of experience in operations/settlement/back office, ideally in fintech, banking, securities, or e-money.
  • Detail-oriented, resilient with high-volume repetitive processes, and disciplined with daily deadlines.
  • Proficient in Excel/Google Sheets; quick to adapt to multiple internal tools/panels.
  • Comfortable handling cross-asset transactions (fiat, gold, crypto).
  • Clear written communication in both Bahasa Indonesia and English.

Responsibilities

  • Process USD top up & cashout (Direct Deposit and OTC), and manual cashout
  • Process and analysis crypto high risk transfer
  • Handle gold withdrawal and report gold WD to regulator
  • Perform monthly reconciliation
  • Manage the GoAML Message Board, LTKM, and escalations from the regulator
  • Handling Jira escalation from the Customer Experience
  • Support onboarding: Institutional Account Opening, Partner EDD, and SID (KYC) remediation

Skills

Detail-oriented
High-volume processing
Deadline discipline

Education

Bachelor's degree (Economics, Accounting, Management, or related field)

Tools

Excel
Google Sheets
Internal tools/panels

Job description

PT Bumi Santosa Cemerlang in Jakarta is seeking a detail-oriented operations/settlement professional for a full-time role. You will run daily settlement operations across multiple assets — covering top up, cashout, reconciliation, Jira escalation handling, CDD and Edd Process, withdrawal process and reporting to regulators.

The role requires high accuracy, discipline with daily deadlines, and the ability to work across several systems.

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