I am currently working with a well-known insurance brand to support with the hire of their first number two role.
Reporting into the Head of Treasury, this role will have a broad remit across all day-to-day activity, leading a team of three to deliver on cash management, forecasting, FX execution, risk and controls, and reporting.
Alongside the BAU, this individual will also work with the HoT to develop the FX strategy for the firm and be involved in a number of exciting projects as the business continues to scale.
In their own words, the Head of Treasury said their key sells on the role were:
- Very unusual to have a truly global role in a firm of this size
- Lots of autonomy from day one
- Able to get involved in/lead some large projects that will have a tangible impact on the wider business
- Opportunity to come on the journey of taking a function from nuts and bolts to best in class
To be a good fit you will have:
- A wealth of experience in cash management
- Detailed understanding of FX - policy to execution
- Financial services experience, ideally insurance
- A keenness to be part of a developing function/be someone who enjoys building and being involved with the day-to-day
- Proven leadership experience
If this sounds like a good fit, please apply via this advert, or to be fast-tracked send your CV and a brief covering note directly to me at (url removed).
#J-18808-Ljbffr