Treasury, Consultant

AIA

Liquidity risk assessment and monitoring
Cash flow projection and funding arrangement
Stress scenario liquidity sensitivity analysis
The role involves leading routine liquidity risk assessments and daily monitoring of liquidity adequacy for the organization

Job Summary

  • The role involves leading routine liquidity risk assessments and daily monitoring of liquidity adequacy for the organization.
  • Candidates will oversee finance operations regarding treasury activities while supporting regulatory reporting exercises like ORSA.
  • The position requires managing risk, driving process efficiency, and developing staff to enhance team competencies.

Matching Summary

The role involves leading routine liquidity risk assessments and daily monitoring of liquidity adequacy for the organization.

Skills & Requirements

Must-have

  • Liquidity risk assessment and monitoring
  • Cash flow projection and funding arrangement
  • Stress scenario liquidity sensitivity analysis
  • Bank account operations and fund transfer
  • Liquidity Contingency Plan updates

Nice-to-have

  • Process automation and streamlining initiatives
  • Strong negotiation skills with stakeholders
  • Experience in insurance company environment
  • Audit experience in professional firm
  • Team leadership and staff development

Key Requirements

  • University graduate majoring in Finance, Accounting, or Economics
  • Member of CFA, HKICPA or equivalent professional body
  • Minimum 8 years work experience with 3 years supervisory level
  • 3+ years audit experience in professional firm (advantage)
  • Strong understanding of global cash management and banking structures

Work Rights

Not specified

Tailored Resume

Cover Letter