Save Job Back to Search Job Description Summary Similar JobsExcellent opportunity to join a global tier 1 reinsurance firm12 months renewable/convertible contractAbout Our ClientThe 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 DescriptionManage 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 ApplicantHands on treasury/cash management experience in financial services industryBachelor degree in relevant fieldWhat's on OfferAn exciting opportunity to join a tier 1 global reinsurance firm as a Treasury AnalystContactGinny Teo (Lic No: R22104515/ EA no: 18C9065)Quote job refJN-092024-6533511Phone number+65 6541 9926Job summaryFunctionFinance & AccountingSub SectorTreasury / CashierWhat is your area of specialisation?InsuranceLocationSingaporeContract TypeTemporaryConsultant nameGinny Teo (Lic No: R22104515/ EA no: 18C9065)Consultant contact+65 6541 9926Job ReferenceJN-092024-6533511Work from HomeWork from Home or Hybrid