Insurance Risk Sr Analyst
Core
Manage global cash positions, liquidity, and foreign exchange (FX) exposure through daily trading and hedging.
Role type
Senior Treasury Analyst (Cash & FX)
Builds
Operational liquidity, FX hedging strategies, and treasury analytics dashboards
Domain
Fintech / Global Payments / Treasury
Deliverable
production ML models | product features | dashboards & analysis | client delivery | infrastructure
Required skills
Cash management, forecasting, FX trading, derivatives hedging, policy development, data analysis, process improvement
Preferred skills
Treasury system enhancements, transformation initiatives
Technologies
Treasury systems, FX trading platforms, dashboard analytics tools
Responsibilities
Perform daily cash management and forecasting; Monitor and manage cash positions to optimize investment opportunities; Review global bank account balances; Support updates/enhancements to systems and processes; Develop and support Treasury policies, procedures, and controls; Monitor FX exposures and execute daily FX trades including derivatives hedging; Prepare data reports for senior management; Design and implement dashboard-based analytics platforms
Seniority
Senior, hands-on IC