Sr Analyst – Finance (Treasury)
Sun Life Manila, Metro Manila, Philippines
Financial Services · 10,001+ employees
About the role
The Sr Analyst is responsible for managing corporate financial assets, including cash flow operations, liquidity management, and short-term investments. They also ensure compliance with corporate policies, reconcile bank transactions, and drive process efficiencies within the treasury function.
What they look for
Requirements
Candidates must hold a bachelor's degree in Accountancy or Finance and possess at least 5 years of experience in finance and treasury roles. Additionally, at least 1 year of experience within a Shared Services, BPO, or ITO environment is required, along with strong knowledge of GAAP and IFRS.
Full description
You are as unique as your background, experience and point of view. Here, you’ll be encouraged, empowered and challenged to be your best self. You'll work with dynamic colleagues - experts in their fields - who are eager to share their knowledge with you. Your leaders will inspire and help you reach your potential and soar to new heights. Every day, you'll have new and exciting opportunities to make life brighter for our Clients - who are at the heart of everything we do.
At Sun Life, we're driven by our Purpose: helping our Clients achieve lifetime financial security and live healthier lives. Our values shape how we work: caring, authentic, bold, inspiring, and impactful.
When you join Sun Life, you'll work with passionate colleagues and empowering leaders who support your growth and celebrate your contributions, so you can make a meaningful difference in our Clients' lives.
Discover how you can make a difference in the lives of individuals, families and communities around the world.
Job Description:
The Sr Analyst – Finance (Treasury) is responsible for managing corporate financial assets, including cash, receivables, and short-term investments. This role ensures optimal funding for daily operations while prudently investing excess cash in strict adherence to corporate policies. The ideal candidate will provide data-driven recommendations to maximize earnings, minimize financial risk, and drive process efficiencies within a Shared Services environment
Major Accountabilities
Cash & Liquidity Management
- Daily Cash Flow: Oversee day-to-day cash flow operations and ensure sufficient funds are available for ongoing operational and capital investment requirements.
- Cash Positioning: Prepare and submit accurate daily cash position reports to the Accounting Manager.
- Forecasting & Funding: Manage fund requirements, loan availments, repayments, and bank balances through robust cash forecasting.
- Banking Operations: Facilitate all core cash transactions, including fund transfers, wire transfers, payroll funding, and stop payments.
Transaction Control & Compliance
- Reconciliation: Reconcile General Ledger (GL) entries against bank deposits and transactions to identify, investigate, and resolve variances.
- Disbursements: Facilitate timely check processing and ensure accounts payable are settled efficiently.
- Investment Execution: Invest excess funds in short-term instruments in alignment with established company investment policies.
- Process Optimization: Review, develop, and implement new procedures to enhance treasury workflows and systems.
Reporting & Relationship Management
- Banking Relations: Maintain and foster strong corporate banking relationships.
- Investment Analysis: Provide comprehensive analytical reviews, benchmark studies of banking/investment services, and intercompany liquidity reports.
- Support: Assist the Accounting Manager with ad-hoc financial projects and other duties as assigned.
Qualifications & Experience
- Education: Bachelor’s degree in Accountancy, Finance, or a related field.
- Experience: Minimum of 5 years of experience in finance and treasury functions.
- Industry Background: At least 1 year of experience within an Information Technology Outsourcing (ITO), Business Process Outsourcing (BPO), or Shared Services organization.
- Technical Knowledge: Strong familiarity with Generally Accepted Accounting Principles (GAAP) and International Financial Reporting Standards (IFRS).
- Skills: Exceptional cash management capabilities, strong business acumen, and advanced cash forecasting skills.
Communication & Collaboration Scope
- Interacts and collaborates closely with internal functional groups within SLGS, Corporate Treasury, leadership teams, managers, and employees.
- Manages regular communication with external stakeholders, including banking partners and external financial communities.
Job Category:
Finance
Posting End Date:
27/08/2026