SCOR

Treasury Analyst

Posted: 1 days ago

Job Description

The Treasury Analyst plays a crucial role in supporting the smooth operation and integrity of a company's treasury activities.As a leading global reinsurer, SCOR offers its clients a diversified and innovative range of reinsurance and insurance solutions and services to control and manage risk. Applying "The Art & Science of Risk," SCOR uses its industry-recognized expertise and cutting-edge financial solutions to serve its clients and contribute to the welfare and resilience of society in around 160 countries worldwide.Working at SCOR means engaging with some of the best minds in the industry - actuaries, data scientists, underwriters, risk modelers, engineers, and many others - as we work together to find solutions to pressing challenges facing societies.As an international company, our common culture is defined by "The SCOR Way." Serving both to build momentum that drives the Group forward and as a compass to guide our actions and choices, The SCOR Way is anchored by five core values, reflecting the input of employees at all levels of the Group. We care about clients, people, and societies. We perform with integrity. We act with courage. We encourage open minds. And we thrive through collaboration.SCOR supports inclusion and the diversity of talents, and all positions are open to people with disabilities.1. At our brand-new Shared Business Platform (SBP) in Bucharest, we offer a dynamic environment where career growth is actively supported through internal mobility, globally recognized certifications, and continuous professional development. We value work-life balance, offering flexible work arrangements, and wellbeing initiatives that help you thrive both personally and professionally. Now, let's explore this exciting opportunity so that you can be part of our mission. We are seeking a Treasury Operations Analyst to support global back-office treasury activities. This role involves maintaining bank accounts and documentation, assisting with payment processing and FX settlements, and contributing to reporting and compliance efforts. - Maintain bank accounts and support updates to bank powers and document archiving. - Monitor electronic bank statements and assist with accurate payment processing and issue resolution. - - Support FX deal validation, settlement, and SSI management in SAP TRM. - Assist in weekly cash variation analysis, bank charge reviews, and reconciliation support. - Manage collateral reporting and pledge platform activities across designated regions. - Coordinate compliance follow-ups and engage with internal and external stakeholders. Ideal candidates will have strong attention to detail, experience in SAP TRM, and a collaborative mindset. 1. Qualifications: 2 years of experience in treasury, finance, or banking operations. Hands-on experience with trade settlement, confirmations, and reconciliations is a plus. Knowledge of reinsurance industry is a plus. Education : Bachelor's degree in Finance, Accounting, or related field.

Job Application Tips

  • Tailor your resume to highlight relevant experience for this position
  • Write a compelling cover letter that addresses the specific requirements
  • Research the company culture and values before applying
  • Prepare examples of your work that demonstrate your skills
  • Follow up on your application after a reasonable time period

You May Also Be Interested In