At a Glance
- Tasks: Lead the European treasury team, focusing on global FX execution and cash management.
- Company: Everest Group is a top global reinsurance and insurance provider with nearly 50 years of experience.
- Benefits: Enjoy flexible work arrangements, tuition reimbursement, mentoring, and a supportive culture.
- Why this job: Join a dynamic team that values innovation and offers opportunities for professional growth.
- Qualifications: Bachelor's in Finance or related field; Master's or certifications preferred; experience in treasury and FX execution required.
- Other info: Work in a collaborative environment that prioritizes inclusion and accountability.
The predicted salary is between 72000 - 108000 £ per year.
Title:
Treasury Director
Company:
Everest Advisors (Uk), Ltd.
Job Category:
Finance
Job Description:
About Everest:
Everest Group, Ltd. (Everest), is a leading global reinsurance and insurance provider, operating for nearly 50 years through subsidiaries in North America, Latin America, the UK & Ireland, Continental Europe and Asia Pacific regions. Throughout our history, Everest has maintained its discipline and focuses on creating long-term value through underwriting excellence and strong risk and capital management. Our strengths include extensive product and distribution capabilities, a strong balance sheet, and an innovative culture. Our most critical asset is our people. We offer dynamic training & professional development to our employees. We also offer generous tuition/continuing education reimbursement programs, mentoring opportunities, flexible work arrangements, and Colleague Resource Groups.
About the Role:
We are seeking a strategic and experienced Director of Treasury to lead our European treasury team. This role will primarily focus on global FX execution while also overseeing cash management and payment execution. The ideal candidate will have a robust understanding of global FX execution practices, accounting implications, and the unique economics of the insurance and reinsurance industry.
Role & Responsibilities (include but not limited to):
FX Execution:
- Develop and execute global FX strategies to mitigate currency risk across and optimize financial performance.
- Work with global partners to facilitate their FX execution needs, ensuring timely and cost-effective transactions.
- Monitor global FX markets and provide strategic insights to senior management.
- Ensure compliance with regulatory requirements and internal policies related to FX transactions.
Cash Management:
- Oversee daily cash positioning and liquidity management for European entities.
- Ensure efficient cash utilization and fund transfers across the organization.
- Implement and maintain cash pooling structures to optimize cash flow.
Payment Execution:
- Supervise the execution of payments for European operations, ensuring accuracy and compliance.
- Manage banking relationships to support smooth payment processes.
- Address and resolve payment-related issues promptly.
Accounting and Reporting:
- Ensure accurate accounting and booking of FX transactions and cash movements.
- Collaborate with the accounting team to align on financial reporting and regulatory compliance.
- Prepare and review treasury-related reports for senior management and regulatory bodies.
Insurance Economics and Capital Management:
- Understand the economic factors affecting the insurance and reinsurance industry.
- Ensure compliance with regulatory reporting and capital regimes specific to the insurance sector.
- Provide insights on capital management and liquidity planning within the insurance context.
Leadership and Team Management:
- Lead and mentor the European treasury team, fostering a culture of excellence and collaboration.
- Coordinate with global treasury teams to ensure consistency and alignment of practices.
- Participate in global treasury projects and initiatives, sharing best practices across regions.
Qualifications:
- Bachelor’s degree in Finance, Economics, Accounting, or a related field. A Master’s degree or professional certification (e.g., CFA, CTP) is preferred.
Knowledge, Skills & Competencies:
- Proven experience in treasury, finance, or a related field, with a focus on FX execution.
- Experience in the insurance or reinsurance industry is highly desirable.
- Strong understanding of global FX markets, instruments, and execution practices.
- Proficiency in treasury management systems and financial software.
- Advanced knowledge of accounting principles and booking requirements for FX transactions.
- Deep understanding of the economics of the insurance and reinsurance industry.
- Familiarity with regulatory reporting and capital regimes specific to insurance.
- Syndicate experience beneficial.
- Excellent leadership and team management abilities.
- Ability to work effectively in a global, cross-functional environment.
Our Culture:
At Everest, our purpose is to provide the world with protection. We help clients and businesses thrive, fuel global economies, and create sustainable value for our colleagues, shareholders and the communities that we serve. We also pride ourselves on having a unique and inclusive culture which is driven by a unified set of values and behaviors. All colleagues are held accountable to upholding and supporting our values and behaviors across the company. This includes day to day interactions with fellow colleagues, and the global communities we serve.
Type:
Regular
Time Type:
Full time
Primary Location:
London
Additional Locations:
Dublin, Ireland
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Treasury Director job with Everest Insurance | 13059633 employer: Be-IT Ltd
Contact Detail:
Be-IT Ltd Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Treasury Director job with Everest Insurance | 13059633
✨Tip Number 1
Familiarize yourself with global FX execution practices and the specific challenges faced in the insurance and reinsurance industry. This knowledge will help you stand out during discussions and demonstrate your expertise in the field.
✨Tip Number 2
Network with professionals in the treasury and finance sectors, especially those with experience in insurance. Engaging with industry peers can provide valuable insights and potentially lead to referrals for the position.
✨Tip Number 3
Stay updated on current trends and regulatory changes in the FX market and insurance economics. Being well-informed will allow you to contribute meaningfully to strategic discussions during the interview process.
✨Tip Number 4
Highlight your leadership and team management skills by preparing examples of how you've successfully led teams in previous roles. This will resonate well with Everest's emphasis on collaboration and excellence within their treasury team.
We think you need these skills to ace Treasury Director job with Everest Insurance | 13059633
Some tips for your application 🫡
Understand the Role: Before applying, make sure you fully understand the responsibilities and qualifications required for the Treasury Director position. Tailor your application to highlight your relevant experience in FX execution and cash management.
Highlight Relevant Experience: In your CV and cover letter, emphasize your proven experience in treasury and finance, particularly in the insurance or reinsurance industry. Mention specific achievements related to FX strategies and cash management.
Showcase Leadership Skills: Since this role involves leading a team, be sure to include examples of your leadership and team management abilities. Discuss how you've fostered collaboration and excellence in previous roles.
Tailor Your Cover Letter: Craft a personalized cover letter that reflects your understanding of Everest's culture and values. Explain why you are passionate about the role and how your skills align with their mission to provide protection and create sustainable value.
How to prepare for a job interview at Be-IT Ltd
✨Understand FX Execution Strategies
Make sure to familiarize yourself with global FX execution practices and strategies. Be prepared to discuss how you would develop and execute these strategies to mitigate currency risk and optimize financial performance.
✨Showcase Cash Management Skills
Highlight your experience in cash management and liquidity oversight. Be ready to explain how you would ensure efficient cash utilization and implement cash pooling structures within the organization.
✨Demonstrate Leadership Experience
As a Treasury Director, you'll need strong leadership skills. Share examples of how you've led and mentored teams in the past, and discuss how you would foster a culture of excellence and collaboration within the European treasury team.
✨Familiarize Yourself with Insurance Economics
Since this role is within the insurance and reinsurance industry, it's crucial to understand the economic factors affecting it. Prepare to discuss your insights on capital management and liquidity planning specific to this sector.