Support Checkout.com in all aspects of the day to day monitoring, analysis and management of legal entity and regional liquidity positions
Job Summary
Support Checkout.com in all aspects of the day to day monitoring, analysis and management of legal entity and regional liquidity positions.
Manage day to day FX requirements for the region including enhancing the current FX infrastructure by adding additional trading counterparties, automating flows and minimising execution costs.
Be responsible for Treasury related governance requirements such as convening and presenting key topics at the regional Asset Liability Committee (ALCO), risk management and board meetings.
Matching Summary
Support Checkout.com in all aspects of the day to day monitoring, analysis and management of legal entity and regional liquidity positions.
Skills & Requirements
Must-have
Treasury Markets experience
Prudential Treasury experience
FX, Interest rate and Liquidity Risk management
Treasury Markets/ Cash Management and FX
Quantitative and analytical skills
Cross-functional relationship building
Payments industry knowledge
Nice-to-have
Innovative and commercially minded
Independent and high-achieving
Self-motivation and personal drive
Working through change and implementing new processes
Attention to detail and proactivity
Working knowledge of APAC regulatory frameworks
Key Requirements
Minimum 12-14 years of Treasury Markets / Prudential Treasury experience
Ability to understand Prudential Treasury requirements
Experience in using market data and trading systems such as Bloomberg and FX ALL
Basic modeling skills
Strong communication skills
Working knowledge of regulatory frameworks in APAC
Ability to articulate and present details to senior management