A complete application in a minute — tailored resume and cover letter, ready to send.
AIA Malaysia is looking for a Treasury & Cash Management professional to manage daily funding, bank accounts, and SAP postings to optimize operating cash across AIAMY entities.
You will monitor funding, verify treasury journals, and prepare banking documentation while collaborating with bankers and internal stakeholders to ensure compliance and continuous improvement in cash management processes.
This position requires the incumbent to perform the treasury and liquidity management functions which include working capital management/ daily operational funding activities, bank accounts and documentations management as well as credit facilities management to ensure optimal and efficient utilization of the operational cash for AIA Bhd., in accordance with internal Standard Operating Procedures. These tasks include treasury activities in AIA Malaysia entities that are outsourced to AIA Bhd.