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  • Job type

    Temporary
  • Location

    London
  • Working Pattern

    Full-time
  • Specialism

    Tax And Treasury
  • Industry

    Insurance
  • Pay

    £900-£1000 per day (inside IR35)

Exciting Head of Treasury (Front Office) - Global Insurance Company

Your new company

Delighted to be partnering with a global insurance and reinsurance provider, this is a very exciting interim role for a senior Treasury professional who wants to support a high-performing team within the Global Treasury, which is an integral part of the Division’s Investment Department and is responsible for liquidity and foreign currency management, bank relationships and credit facilities.

The contract role is for a duration of approximately 5 months and will primarily focus on providing support and guidance in the areas of credit facility management and ensuring ongoing LOC capacity, supporting bank relationships, and, to a lesser extent, cashflow budgeting, cash and cashflow optimization and foreign currency. In the role, the candidate will represent Treasury in a complex organisation and fast-moving business, working with internal and external stakeholders, and participating in projects that drive process efficiency through technology.

Your new role

  • Maintaining and developing relationships with key banking partners on all important topics, including credit facilities and capital management transactions, with the aim of optimising the banking infrastructure and supporting business growth
  • Providing insights and value-adding input on all Treasury-related issues that support the (re)insurance business across all levels of the organisation
  • Fostering active innovation and collaboration across all teams within the wider Investment Department and within the Global Finance function, driving the adoption of new technologies and treasury products to support enhanced analytics
  • Supporting the Treasury Front Office Cash Management team, which is responsible for short-term liquidity management, solutions, reporting and cash-related analytics in the region.
  • This involves stakeholder management across multiple business functions and banking counterparties.
  • Supporting ongoing collaboration and innovation between cash management and currency management specialists within Treasury Front Office, and across Treasury Middle Office and Operations teams to continuously raise the bar and drive Treasury excellence.
  • Participating in various projects of all sizes aimed at driving simplification and efficiency in the division’s banking and cash management infrastructure, reporting automation and data analytics.

What you'll need to succeed

You will have extensive front office experience, preferably from within the insurance industry.
The successful candidate should identify and enhance effective relationships with a range of senior stakeholders across the Group to capture ongoing value-added opportunities and process improvement.

What you need to do now

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you, but you are looking for a new position, please contact us for a confidential discussion about your career.

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