- Excellent opportunity to join a global tier 1 reinsurance firm
- 12 months renewable/convertible contract
About Our Client
The client is a global provider of risk and reinsurance services, specializing in helping clients manage their risks through a range of solutions and products.
Job Description
- Manage daily cash and liquidity for entities in the Asia Pacific region, determining cash positions to meet daily operational needs while optimizing fund usage.
- Oversee timely and accurate fund transfers and settlements for financial products, including fixed deposits, FX Spot/Forward/NDF, and internal/external loans.
- Manage funding and counterparty exposures in compliance with firm policies.
- Handle bank account administration tasks such as opening and closing accounts.
- Support the integration and implementation of digital banking tools.
- Assist in the implementation of projects, including business process improvements and automation, by collaborating with relevant parties and providing insights and feedback.
The Successful Applicant
- Hands on treasury/cash management experience in financial services industry
- Bachelor degree in relevant field
What's on Offer
An exciting opportunity to join a tier 1 global reinsurance firm as a Treasury Analyst
Contact
Ginny Teo (Lic No: R22104515/ EA no: 18C9065)
Quote job ref
JN-092024-6533511
Phone number
+65 6541 9926
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