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Senior Manager, Group Treasury & Insurance

Senior Manager, Group Treasury & Insurance

TDCX
  • 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

Job Type:
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Key Skills

Intercompany funding

Liquidity planning

Cash repatriation planning

Broker relationship management

Account structures

Group insurance program renewals

Capital structure decisions

About Company

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