Senior Manager, Group Treasury & Insurance
Senior Manager, Group Treasury & Insurance
TDCX8-12 Years
- Posted 2 days ago
- Be among the first 10 applicants
Job Description
Top Reasons to work with TDCX
- Attractive remuneration, great perks, and performance incentives
- Comprehensive medical, insurance, or social security coverage
- World-class workspaces
- Engaging activities and recognition programs
- Strong learning and development plans for your career growth
- Positive culture for you to #BeMore at work
- Easy to locate area with direct access to public transport
- Flexible working arrangements
- Be coached and mentored by experts in your field
- Join a global company, winner of hundreds of industry awards.
What is your mission
Key Responsibilities — Treasury
- Manage group cash flow forecasting, liquidity planning, and intercompany funding across 19 countries.
- Oversee banking relationships, account structures, and FX/interest rate risk management / mitigation
- Monitor covenant compliance, working capital, and funding requirements for active and dormant entities.
- Support capital structure decisions and entity-level cash repatriation planning to headquarter in Singapore
- Devise and implement mapping reporting of funding and liquidity health of units and group.
Key Responsibilities — Insurance
- Own the group insurance program: renewals, broker relationship management, and total cost of risk oversight (CGL, liability, D&O, cyber, professional indemnity covers)
- Coordinate with local finance/admin representatives to gather exposure data, maintain coverage schedules, and manage local certificate/compliance requirements (including admitted-policy jurisdictions)
- Track and flag emerging risk categories relevant to data annotation, AI consulting, and agentic AI service lines, escalating novel exposures to Legal/broker for specialist input
- Maintain a claims log and coordinate claims handling with brokers/insurers; manage dormant entity runoff coverage decisions
Stakeholder Management
- Set clear service boundaries with local finance/admin teams: define scope of Group Treasury/Insurance, provide templates/checklists to standardize local input, delineate data quality and timeliness with local units
- Escalate and collaborate on issues requiring Legal, specialist broking, or senior management input
- Provide practical, right-sized guidance rather than exhaustive advisory support to every local query
Requirements
- 8-12 years experience in corporate treasury, with meaningful exposure to insurance/risk management (in-house or broker-side)
- Experience in a multi-entity, multi-jurisdiction environment; BPO/tech/services sector exposure a plus
- Degree in Finance/Accounting; treasury or risk certification (AFP, CTP, ACT, ARM) advantageous
- Confident working independently as an individual contributor — setting clear guidelines/expectations, and prioritizing without a team to delegate to
- Strong stakeholder management and chemistry: respectful collaborative and supportive but not conflict-avoidant; able to manage scope creep from local units diplomatically.
More Info
Key Skills
Intercompany funding
Liquidity planning
Cash repatriation planning
Broker relationship management
Account structures
Group insurance program renewals
Capital structure decisions




