Job Description
The experienced workforce is considered the company’s greatest asset; their expertise and knowledge have built a strong track record and continue to shape future growth.
This is a new role within the treasury team and offers a great opportunity to contribute to the group’s investment and treasury function whilst gaining valuable experience in the insurance market. The role will support the Group Treasurer in managing group entities’ and syndicates’ day-to-day cash management, record-keeping, monitoring, and financial reporting for senior management, regulators, and auditors. This position also provides the chance to develop financial expertise, strengthen leadership skills, and prepare for a future Group Treasurer role.
Key Responsibilities
1. Assist the Group Treasurer in preparing quarterly investment reports for the Finance and Investment Committee, along with ad hoc analysis and management information.
2. Oversee the opening and closing of bank accounts and ensure changes in mandates and signatories are communicated to relevant third parties.
3. Assist with currency management, including asset/liability matching, purchases, sales, and forward contracts, ensuring accurate settlement.
4. Support the Group Treasurer in managing outsourced arrangements with banks, custodians, rating agencies, investm...