- Wide exposure within treasury and investment management across APAC
- 12 months renewable/convertible contract
About Our Client
The client is a tier 1 reinsurance firm, ranked within the top five globally. With a rich history of fifty years, my client has a global presence of more than thirty countries.
Job Description
This role covers the APAC region, supporting across different business segments (Life, P&C, etc)
- Responsible for cash, bank account and liquidity management.
- Manage funding and counter-party exposures to ensure compliance against guidelines.
- Perform hedging of currency exposure.
- Ensure timely and accurate fund transfers, FX Spot/Forward/NDF settlement and internal & external loan settlement.
- Assist in projects implementation
- Any other adhoc duties
The Successful Applicant
- At least 1 year of treasury experience within the FIs.
- Open to fresh graduates with relevant treasury experience within the FIs.
- Programming skills such as VBA, SQL, Java etc. will be advantageous
What's on Offer
This is an excellent opportunity for junior treasury candidates. This role offers a wide exposure within treasury and investment management and comes with a chance to convert to perm.