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Starr Insurance is a leading insurance and investment organization, providing commercial property and casualty insurance, including travel and accident coverage, to almost every imaginable business and industry in virtually every part of the world.
Cornelius Vander Starr established his first insurance company in Shanghai, China in 1919. Today, we are one of the world's fastest growing insurance organizations, capable of writing in 128 countries on 6 continents.
GENERAL SUMMARY
The Treasury Analyst supports the day‑to‑day operation of the treasury function, with responsibility for monitoring bank transactions, resolving bank enquiries, and reconciling cash positions.
This position will assist the Regional Treasury Manager in the implementation of the TMS and use of TMS for payments and regional cash management.
DUTIES AND RESPONSIBILITIES
Bank Transaction Monitoring & Enquiry Resolution
Cash Reconciliations
Cash Management & Funding Support
Reporting & Support Activities
Governance & Controls
The above duties and responsibilities are not an exhaustive list, and you may be required to undertake any other reasonable duties compatible with your experience and competencies. This description may be varied from time to time to reflect changing business requirements.
EXPERIENCE & QUALIFICATIONS
Job ID: 151331843
Skills:
Bank Reconciliation, Kyriba system, Cash Management
Skills:
Power Bi, Vba, Excel, Python, Treasury Operations, Fx, treasury risk, Cash Management, trade finance instruments, liquidity forecasting
Skills:
Cash Forecasting, Cash Management, Kyriba, Reporting, Bank Reconciliations
Skills:
Cash Forecasting, Cash Management, Kyriba, Reporting, Bank Reconciliations
Skills:
Excel, SAP, Cash Management, Bloomberg, FIS Quantum, Word, Cash Pooling, Capital Structuring, eBanking support