Deskripsi Pekerjaan
Join MSIG's dynamic Finance team as an Assistant Manager (Investment & Treasury) and play a pivotal role in shaping our investment strategy and treasury operations. This position offers a unique opportunity to work at the intersection of finance and risk management, where you'll directly impact the company's financial health and growth trajectory. You'll be responsible for providing comprehensive quarterly investment results with rigorous risk assessment criteria to our Enterprise Risk Management (ERM) framework, ensuring alignment with regulatory requirements and business objectives. Additionally, you'll manage critical processes including half-yearly ABF dividend distribution and conduct detailed monthly investment performance reviews. This role requires a blend of analytical expertise and strategic thinking to optimize investment portfolios while maintaining robust risk controls.
As a key member of our finance division, you'll collaborate with senior stakeholders to develop investment strategies that balance growth opportunities with prudent risk management. The position offers significant exposure to capital markets, fixed-income securities, and treasury operations within a leading global insurance organization. If you're a finance professional seeking to advance your career in a challenging environment where your insights directly influence financial outcomes, this role provides the perfect platform for professional growth and impact.
Tanggung Jawab
- Provide quarterly investment performance analysis with key risk assessment criteria to Enterprise Risk Management (ERM)
- Execute half-yearly ABF dividend distribution processes and associated reporting
- Review and analyze monthly investment performance metrics against benchmarks
- Monitor market trends and regulatory changes affecting investment strategies
- Assist in developing and implementing treasury policies and procedures
- Prepare comprehensive investment reports for senior management and stakeholders
- Collaborate with cross-functional teams to optimize capital allocation
- Support treasury operations including cash flow forecasting and liquidity management
Kualifikasi
- Bachelor's degree in Finance, Economics, Business Administration, or related field
- Minimum 3-5 years of experience in investment management or treasury operations
- Professional certifications (CFA, FRM, ACCA) highly desirable
- Strong analytical skills with ability to interpret financial data and market trends
- Proficiency in financial modeling, risk assessment tools, and treasury systems
- Excellent communication skills with ability to present complex information clearly
- Detail-oriented with ability to manage multiple deadlines and priorities
- Knowledge of Singapore's financial markets and regulatory environment