GCM Operations Analyst - AIG
  • Dublin, Leinster, Ireland
  • via BeBee.com
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Job Description

GCM Treasury Operations Senior Analyst

Who we are:
American International Group, Inc. (AIG) is a leading global insurance organization. Building on 100 years of experience, today AIG member companies provide a wide range of property casualty insurance, life insurance, retirement solutions, and other financial services to customers in more than 80 countries and jurisdictions. These diverse offerings include products and services that help businesses and individuals protect their assets, manage risks and provide for retirement security.

Get to know the business:
Corporate operations provide a wide range of services to the organization such as finance, internal audit, communications, security and human resources. Treasury sits within the finance area. The Dublin Treasury team consists of Cash Management, Bank Administration and other areas including Risk & Compliance.

About the role:
What you need to know:
- Responsible for daily activity on trade blotters for each product type covered by GCM traders.
- Monitoring trade matching confirmations, payment execution, settlement, failing trade management, and reconciliation of transactions.
- Daily cash management of GCM accounts, including cash pool balances and currency rebalancing.
- The role will involve a combination of teamwork and close collaboration within a small team, as well as independent management of items.
- Oversight review and reporting of reconciliation breaks related to GCM activity.
- Work with Kyriba Business Enablement team to ensure GCM payments, access profiles, configurations and reporting are fit for purpose.
- Maintain good relationships with our transactional global banking partners, provide advisory support to other teams on GCM products and partner with Treasury Compliance team to ensure all activities and duties are carried out within the respective global standards and policies.
- Ensure procedure documentation and Standard Operating Procedures are proactively maintained and kept up to date.
- From time to time be flexible to support US Market hours but working to demonstrate how delivery can be maintained in standard business hours.

What we're looking for:
- Experience in a Treasury/Cash Management role and the trade life cycle of financial instruments.
- Knowledge of FX, Derivative, Repo, Stock Repurchases and Margin settlement.
- Prior experience with Treasury Management systems and electronic banking systems, preferably Kyriba.
- Proven ability to multi-task, and independently and effectively manage and prioritize a varied workload.
- BA degree in Accounting, Finance or a Business-related field is preferred.
- Must possess strong interpersonal skills (both verbal and written).
- Proficient in Microsoft Office specifically Excel, Word, and PowerPoint.
- English fluency is required.
- Strong analytical skills and be able to work independently and with a team.
- Ability to investigate, troubleshoot and resolve items to completion and implement change to prevent reoccurrence.
- Must be able to communicate information clearly and concisely to stakeholders as needed, in both written and verbal format.

Functional Area:
FA - Finance

Estimated Travel Percentage (%):
No Travel

Relocation Provided:
No

AIG Europe (Services) Limited

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