Back to all jobs
American International Group, Inc. logo

Treasury Senior Analyst

American International Group, Inc.

Dublin, Ireland
Full-time
Posted Feb 25, 2026
Onsite

Compensation

Loading salary analysis...

About the role

Monitor daily cash positioning, perform payment execution, forecasting, variance analysis and reconciliation for AIG entities in the respective region, ensuring adequate liquidity is available daily to meet the business wide needs. Optimization of cash pooling processes and yield on short term cash available for investment through proactive review of existing target balances/thresholds based on changing financial environments.

Responsibilities

  • Monitor daily cash positioning, perform payment execution, forecasting, variance analysis and reconciliation for AIG entities in the respective region, ensuring adequate liquidity is available daily to meet the business wide needs
  • Optimization of cash pooling processes and yield on short term cash available for investment through proactive review of existing target balances/thresholds based on changing financial environments

Requirements

  • 3+ Years experience in a Corporate Treasury or Cash Management environment
  • Prior experience with Treasury Management systems or electronic banking systems

Benefits

  • 401k matching
  • Health insurance
  • Flight privileges

About the Company

American International Group, Inc. (AIG) is a leading global insurance organization. Building on 100 years of experience, today AIG member companies provide a wide range of property casualty insurance, life insurance, retirement solutions, and other financial services to customers in more than 80 countries and jurisdictions.

Job Details

Salary Range

Salary not disclosed

Location

Dublin, Ireland

Employment Type

Full-time

Original Posting

View on company website
Create resume for this position