Investment Treasury Senior Analyst at Amartha
Jakarta, JKT, Indonesia -
Full Time


Start Date

Immediate

Expiry Date

09 May, 25

Salary

0.0

Posted On

10 Feb, 25

Experience

3 year(s) or above

Remote Job

No

Telecommute

No

Sponsor Visa

No

Skills

Ethnicity, Powerpoint, Working Experience, Excel

Industry

Financial Services

Description

Amartha is a technology company focused on creating shared prosperity by developing digital financial solutions for the grassroots economy. Founded in 2010 as a microfinance institution, Amartha connects rural, women-led micro-enterprises with affordable capital. Amartha is expanding as a tech company, building a microfinance ecosystem that connects to the growing digital economy through capital, investment, and payment services. By boosting the competitiveness of micro and small entrepreneurs, Amartha empowers women-led MSMEs, creates jobs, and fosters inclusive economic growth.

REQUIREMENTS

  • 3-5 years of working experience
  • Familiarity with MS Office (Excel, Word, PowerPoint)
  • Adaptable to changing environments
  • Banking or corporate treasury experience is appreciated
    At Amartha, we are dedicated to creating a workplace that celebrates diversity, ensures equity, and fosters inclusion. We believe that diverse perspectives—shaped by factors such as gender, age, race, ethnicity, education, culture, and life experiences—drive innovation and growth.
    We actively welcome individuals from all backgrounds to join us in building an environment where everyone feels respected, valued, and empowered. Our commitment is to provide equal opportunities and foster a sense of belonging that enables our employees to thrive and make meaningful contributions
Responsibilities

ABOUT THE ROLE

Senior Investment Treasury Analyst will involve managing daily liquidity, asset positions, and disbursement approvals while working with the funding team to optimize cash balances. It includes collaborating with corporate finance and legal teams to onboard foreign lenders, managing hedging partnerships, and ensuring timely payments.

RESPONSIBILITIES

  • Monitor daily liquidity, asset positions, and daily disbursement approvals.
  • Collaborate with the funding team to optimize asset and cash balances.
  • Collaborate with the corporate finance and legal teams to onboard new foreign lenders.
  • Assess potential hedging partners (banks and other financial institutions) and monitor the onboarding process.
  • Monitor invoices and other payments to ensure timely execution on behalf of foreign lenders.
  • Develop and implement an FX hedging strategy.
  • Manage operations for principal and interest repayments to foreign lenders.
  • Monitor and control foreign lenders’ portfolio performance and NPLs.
  • Perform analysis of the lending portfolio and present findings to finance stakeholders.
  • Establish and maintain good working communication with internal and external stakeholders, including banks and foreign lenders.
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