The Role
For a small, dynamic team within a big multinational organization, we are looking to hire a Treasury Administrator.
WTW Treasury is responsible for the Company’s liquidity, foreign exchange, credit, interest rate and operational treasury risks on a global scale. Within the team you will manage the vast intercompany loan portfolios, in terms of preparing agreements and maintaining the information and daily movements on the treasury management system. You are responsible for several month-end close tasks as well as managing the quarterly Credit Committee meetings. You will support the front office team in project deliverables.
The responsibilities will include the following:
• Responsible for the management of intercompany loan portfolios;
• Manage daily non-cash intercompany loan transaction;
• Manage the monthly intercompany loan closing process;
• Support Front Office Dealers on daily activities;
• Support in treasury system enhancement projects (IT2);
• Key contributor to the Credit Committee;
• Assist in the management of the cash pooling structures and related banking activities.
• Prepare the GTC Cash Pool Forecast.
Job details are sourced from the employer's original posting.
Open job postingAbout the company
WTW is a leading global advisory, broking and solutions company that helps clients around the world turn risk into a path for growth.