- Strategic Financial Management: Drive the optimization of capital structure, manage liquidity risk, and oversee cash flow forecasting and management.
- Investment Support:Â Support to the development and implementation of investment strategies, working closely with the CIO to maximize returns while mitigating risk.
- Risk Management: Identify, assess, and manage key financial risks, including interest rate, foreign exchange, and liquidity risk.
- Compliance & Control: Ensure adherence to all relevant financial regulations, including Lloyd's of London trust fund rules, and implement robust internal controls.
- Stakeholder Engagement: Build and maintain strong relationships with external stakeholders, including banks and financial institutions, as well as internal stakeholders across the business.
- Team Leadership: Lead and mentor a high-performing treasury and credit risk team, fostering a culture of excellence and continuous improvement.
- You are a highly numerate and analytical individual with a proven track record in treasury management.
- You possess excellent communication and presentation skills, with the ability to engage effectively with senior management and the board.
- You are a proactive and results-oriented leader with a passion for driving positive change.
- You have 5+ years of experience in a treasury role and hold a relevant professional qualification (ACCA, ACA, AMCT, CIMA, or CFA).
- Experience within or a strong understanding of the Insurance industry is highly desirable
- You are proficient in financial modeling and have advanced knowledge of Microsoft Office Suite.