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Treasury Risk Management Specialist
2 months ago
AIG Treasury is a global organization within the Finance division of AIG, with offices in New York City, Houston, London, Dublin, Japan, and India. The FX (Foreign Exchange) Treasury team, based in New York City, is responsible for managing all aspects of FX risk globally.
We are seeking a candidate with a Finance/Accounting background, who has a balance of quantitative and qualitative skills. Successful candidates will be self-starters with strong verbal and written communication skills.
Responsibilities- Measure, manage, and monitor AIG's aggregated foreign currency exposures and risks vs. established foreign currency limits.
- Prepare, track, and monitor active foreign currency derivative trades for rolling, physical delivery, or partial unwind.
- Aggregate and reconcile ~170 reporting offices' quarterly transactional currency balance sheets from SAP systems and manual data submissions for 10K/Q reporting purposes.
- Aggregate, reconcile, and analyze variance of GI US Pool individual legal entity FX exposures.
- Identify, measure, manage, and monitor foreign currency exposures and risk, including designing and executing risk mitigation strategies to manage statutory surplus risk at material regulated insurance entities vs. established FX limits.
- Prepare quarterly FX risk management memorandums for material regulated insurance entities and lead quarterly FX hedge recommendation calls with Capital, Investments, and ERM functions.
- Identify, measure, manage, and monitor foreign currency exposures in aggregate for non-material regulated insurance entities and non-regulated companies vs. established FX limits.
- Prepare FX exposure data cuts for ERM reporting purposes.
- Risk manage and hedge transactional currency cash flows, such as FX dividends, capital contributions, and reinsurance settlements.
- Enter FX spot and derivative trades into Appian for approval and execution.
- Undergraduate degree required, Finance or business major preferred.
- Broad experience in Finance, Treasury, and Risk Management in a financial firm with demonstrated knowledge in corporate finance, investments, and accounting.
- 3+ years of relevant experience required.
- Self-starter, quick learner, and flexible team player.
- Excellent problem-solving and analytical skills with high-level intellectual curiosity ability.
- Ability to multitask and work well under pressure and tight deadlines while retaining strong attention to detail.
- Demonstrate professionalism in handling confidential and sensitive information.
- Technical skills with advanced knowledge of MS Excel and MS PowerPoint.
- Familiarity with Bloomberg terminal functions is a plus.
AIG is a global leader in commercial and personal insurance solutions, with a far-reaching property casualty network. We are committed to creating a culture that truly respects and celebrates each other's talents, backgrounds, cultures, opinions, and goals.
We foster a culture of inclusion and belonging through flexible work arrangements, diversity and inclusion learning, cultural awareness activities, and Employee Resource Groups (ERGs). With global chapters, ERGs are a cornerstone for our culture of inclusion.
AIG provides equal opportunity to all qualified individuals regardless of race, color, religion, age, gender, gender expression, national origin, veteran status, disability, or any other legally protected categories.