Deskripsi Pekerjaan
MSIG, a member of the MSI&AD Insurance Group, is a leading global insurer with a strong presence in Asia. We are seeking a highly motivated and analytical professional to join our Finance team as Assistant Manager (Investment & Treasury).
This role is pivotal in managing the company’s investment portfolio and treasury operations, ensuring robust financial health and strategic growth. Reporting to the Head of Investment & Treasury, you will play a key role in shaping our financial strategy.
You will be responsible for providing comprehensive quarterly investment results with in-depth risk assessment criteria to the Enterprise Risk Management (ERM) committee. You will handle the half-yearly dividend distribution for the ABF, review monthly management reports, and provide critical insights to senior management.
This role offers a unique opportunity to work at the intersection of investment management and corporate treasury within a dynamic insurance environment. You will gain exposure to a wide range of financial instruments, regulatory frameworks, and strategic initiatives.
The ideal candidate is a self-starter with a strong academic background in Finance or Accounting, deep experience in financial analysis, and a passion for the financial services industry. You will thrive in a collaborative environment and possess excellent communication skills to effectively liaise with internal and external stakeholders.
If you are looking to take the next step in your career with a world-class organization, MSIG offers a competitive compensation package, professional development opportunities, and a supportive work culture. Join us and contribute to our mission of providing security and peace of mind to our customers.
Tanggung Jawab
- Prepare and analyze quarterly investment performance reports, presenting key risk assessment criteria to the Enterprise Risk Management (ERM) committee.
- Oversee half-yearly dividend distribution for funds and ensure timely, accurate financial settlements.
- Review monthly financial management reports, focusing on investment income, cash flow, and treasury activities to support strategic planning.
- Manage bank relationships, loan facilities, and short-term investment placements to optimize liquidity and returns within risk appetite.
- Support the annual budgeting and forecasting process for the Investment and Treasury division.
- Ensure strict compliance with MAS regulations, internal policies, and IFRS standards across all treasury and investment activities.
- Develop and maintain sophisticated financial models to support strategic decision-making, asset-liability management, and investment evaluations.
- Collaborate with internal and external auditors during financial and treasury audits, providing necessary documentation and insights.
Kualifikasi
- Degree in Accountancy, Finance, Banking, or a related field. Professional qualifications (e.g., CFA, CPA, ACCA, FRM) are highly advantageous.
- Minimum 4-6 years of relevant experience in investment management, corporate treasury, or financial analysis within the banking or insurance sectors.
- Strong knowledge of financial instruments, fixed income markets, and risk management frameworks.
- Proficiency in financial modeling and advanced Excel (VBA is a plus). Familiarity with Bloomberg, Reuters, or SAP is preferred.
- Excellent analytical, problem-solving, and organizational skills with a keen eye for detail.
- Strong communication and stakeholder management skills, with the ability to present complex financial data clearly to non-finance stakeholders.
- Self-motivated, able to work independently and as part of a dynamic team in a fast-paced, deadline-driven environment.
- Singaporean / Permanent Resident or valid work pass holders eligible to apply.