Phnom Penh, KH
1 day ago
Investment and Treasury Executive

At AIA we’ve started an exciting movement to create a healthier, more sustainable future for everyone.

It’s about finding new ways to not only better people's lives, but to better the communities and environments we live in. Encompassing our ambition of helping a billion people live Healthier, Longer, Better Lives by 2030.

And to get there, we need ambitious people who believe in playing an important part in shaping that future. People seeking unmatched career and personal growth opportunities, who are driven to work with, and learn from some of the most inspiring and supportive leaders in the business.

Sound like you? Then read on.

About the Role

The Investment and Treasury Executive is tasked with: (1) supporting in managing and optimizing the company’s investment portfolio in alignment with regulatory requirements, risk appetite, and long-term financial objectives; (2) conducting market research, evaluating investment opportunities, and ensuring compliance with internal policies and external regulations; (3) overseeing treasury operations to ensure adequate liquidity; and (4) fostering effective communication and maintaining strong relationships with banking partners.

Investment management

Monitor and manage the performance of investment portfolios.Conduct in-depth financial analysis, due diligence, and risk assessments on potential investments.Prepare investment reports and recommendations for presentations to the Investment Committee.Ensure compliance with insurance regulatory frameworks (e.g., solvency requirements, asset-liability matching) and Group requirements.Collaborate with actuaries, finance, and risk teams to align investment strategies with liabilities and capital requirements.Maintain relationships with external parties such ash financial institutions.Stay updated on market trends, economic developments, and regulatory changes.

Treasury and Cash Flow Management

Administer bank account management, including account opening and closing, account maintenance, and periodic review of the Company's authorized agents and user access.Support treasury operations, including fund transfers, bank statements, due diligence exercises, and management of service agreements with banks.Review bank charges to identify opportunities for cost savings.Implement and ensure compliance with the Group’s Liquidity Management Standards and Procedures.Coordinate the preparation and execution of the Company’s Liquidity Contingency Plan.Monitor and perform monthly and quarterly cash flow forecasts to ensure liquidity above the required threshold.Maintain communication and relationships with banks and other financial institutions.Support internal and external stakeholders in matters related to treasury.

Build a career with us as we help our customers and the community live Healthier, Longer, Better Lives.

You must provide all requested information, including Personal Data, to be considered for this career opportunity. Failure to provide such information may influence the processing and outcome of your application. You are responsible for ensuring that the information you submit is accurate and up-to-date.

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