Share this Job

Treasury Analyst (12 Months Contract Role)

Date: Jan 7, 2021

Location: Singapore, SG

Company: SCOR


Singapore Singapore (SG) 


Treasury Analyst (12 Months Contract Role) 


Finance & Accounting 



          About SCOR         

SCOR, the 4th largest reinsurer in the world, provides insurance companies with a diversified and innovative range of solutions and services to control and manage risk. Using its experience and expertise, “The Art & Science of Risk”, SCOR provides cutting-edge financial solutions, analytics tools and services in all areas related to risk – in Life & Health insurance as well as in P&C insurance. Our specialist teams operate in over 120 countries, developing value added and innovative products and services and making long-term commitments to their clients, namely insurers and large corporations.
SCOR's aim, as an independent global reinsurance company, is to develop its Life and P&C business lines, to provide its clients with a broad range of innovative reinsurance solutions and to pursue an underwriting policy founded on profitability, supported by effective risk management and a prudent investment policy, in order to offer its clients an optimum level of security, to create value for its shareholders, and to contribute to the welfare and resilience of Society by helping to protect insureds against the risks they face.


Job Summary

Reporting to the Head of Asia Pacific Treasury and Investments.


The Treasury Analyst will have the exposure to a broad spectrum of Treasury and Investments functions in Asia Pacific region managed by the Singapore Hub.


You will assist in bank account management, cash & liquidity management, funding as well as financial risk management. You are expected to play a supporting role in building an efficient and effective treasury and investment operations to support various business functions.


All tasks will have to be performed in compliance to SCOR Group Treasury Policy and SCOR Group Investment Guidelines.



Key Duties and Responsibilities

  • Manages regional group cash and liquidity, funding, counterparty exposures, and bank accounts to ensure compliance with the SCOR policies and guidelines.
  • Investment management consist of cash, deposits, Government Bonds and Corporate Bonds.
  • Perform hedging of currency exposure.
  • Ensure timely and accuracy of fund transfer, time deposit settlement, FX Spot/Forward/NDF settlement, internal and external loan settlement.
  • Support capital management activities, i.e. injection and repatriation.
  • Prepare and submit reports (regular and ad-hoc).
  • Support projects implementation
    • To focus on automating business processes while working closely with various stakeholders.
  • Ad hoc duties assign from time-to-time.



Experience & Competencies

  • Bachelor’s degree in Accounting and Finance, Economics, or related discipline.
  • Programming skills (VBA, SQL, Java, etc.)
  • Hands-on, meticulous, positive and energetic with initiative.
  • Self-driven, committed team player.
  • Well organise, strong problem-solving skills and analytical abilities.
  • Good interpersonal and communication skills.