7h ago
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Finance, Specialist (Treasury Infrastructure)

MalaysiaMalaysia·Kuala Lumpurmid
OtherFinance Specialist
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Quick Summary

Key Responsibilities

Daily Treasury Operations · Prepare and/ or review daily operational funding activities, including FX transactions and high-volume treasury transactions,

Technical Tools
OtherFinance Specialist

At AIA, your perspective, curiosity and ideas can contribute to our Purpose of helping millions of people live Healthier, Longer, Better Lives. Across our diverse markets, you will learn through meaningful work, collaborate with experienced colleagues and build practical skills as you turn fresh ideas into positive outcomes and a more sustainable future for our customers and communities.


Join us to explore new possibilities, grow through real experiences and start making an impact across Asia.


About the Role

~1 min read

This position requires the incumbent to support daily treasury operations, bank account administration, SWIFT maintenance, and SAP Treasury activities to ensure the smooth execution of funding transactions, banking administration, and compliance with internal controls across AIA Malaysia entities. These tasks include treasury activities in AIA Malaysia entities that are outsourced to AIA Bhd.

Responsibilities

~1 min read

·  Prepare and/ or review daily operational funding activities, including FX transactions and high-volume treasury transactions, in accordance with internal established Standard Operating procedures and bank cut-off timelines prior to approval by Manager and authorised signatories.

·  Perform Preparer or Verifier roles for treasury transactions via online banking platforms and/ or Treasury Management Systems (TMS).

·  Monitor cash balances and ensure timely completion of treasury transactions following authorised signatories’ approvals and ensuring timely investigation and resolution.

·  Prepare and/ or review Treasury-related journals and transaction records for accurate and timely posting into SAP.

·  Prepare and/ or review intercompany and intracompany fund transfers to ensure accurate execution and recording.

·  Maintain operational knowledge and provide backup support across Treasury functions, as required.

 

·  Support SWIFT setup, maintenance, testing and User Acceptance Testing (UAT) activities.

·  Coordinate SWIFT documentation, connectivity requirements and operational matters with banks and internal stakeholders.

·  Support periodic SWIFT reviews, attestations and corporate information updates for management review and approval.

·  Assist in resolving SWIFT-related operational issues and enquiries.

 

·  Assist in SAP Treasury master data maintenance and system-related activities.

·  Support system enhancements, testing, and issue resolution relating to Treasury operations.

 

·  Coordinate bank account rationalisation and maintenance initiatives, including documentation for the opening, closure, and modification of bank accounts.

·  Prepare banking documentations, including KYC documentations, authorised signatories updates, and online banking access administration for Manager’s sign-off.

·  Maintain accurate records of banking arrangements and ensure documentation is updated on a timely basis.

·  Liaise with banks and internal stakeholders on account-related, operational, and cash management matters.

 

·  Ensure compliance with Treasury policies, regulatory requirements, operating procedures, and internal controls.

·  Support Treasury process optimisation, automation initiatives, system enhancement projects, User Acceptance Testing (UAT), and Treasury-related initiatives.

·  Support internal and external audits and maintain Treasury documentation.

Perform ad hoc assignments and projects as directed by the Manager.



Minimum Job Requirements:

  • Degree in Finance, Accounting, Banking, Information Systems, Data Analytics or a related discipline.
  • Minimum 5 years of experience in Treasury, Cash Management or Banking Operations, preferably within a multinational environment.
  • Knowledge of cash management, liquidity management, funding, foreign exchange (FX), Treasury operations and Treasury systems (SAP/TMS).
  • Hands-on experience with SWIFT, banking connectivity and automation tools such as Power Automate, VBA, Python, SQL, Alteryx and Power BI is an advantage.
  • Strong communication, analytical, organisational and problem-solving skills, with attention to detail and a continuous improvement mindset.
  • Self-motivated, proactive and able to work independently with minimal supervision.
  • Good command of English, both written and spoken.
  • Able to work effectively under tight timelines and manage multiple priorities in a fast-paced environment.

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.

Location & Eligibility

Where is the job
Kuala Lumpur, Malaysia
On-site at the office
Who can apply
MY

Listing Details

Posted
October 7, 2026
First seen
October 7, 2026
Last seen
October 7, 2026

Posting Health

Days active
0
Repost count
0
Trust Level
56%
Scored at
October 7, 2026

Signal breakdown

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Finance, Specialist (Treasury Infrastructure)