Cash & Banking Manager in London

Cash & Banking Manager in London

London Full-Time 60000 - 75000 £ / year (est.) Home office (partial)
MS Amlin

At a Glance

  • Tasks: Lead cash management and banking operations, ensuring optimal liquidity and compliance.
  • Company: Join MS Amlin, a leading (re)insurer with a collaborative culture.
  • Benefits: Competitive salary, performance bonuses, hybrid working, and support for professional development.
  • Other info: Be part of a diverse team that values growth and innovation.
  • Why this job: Make a real impact in treasury operations while developing your skills in a dynamic environment.
  • Qualifications: Experience in cash management and strong communication skills required.

The predicted salary is between 60000 - 75000 £ per year.

This role focuses on Treasury cash management, banking arrangements, related platforms and interconnectivity with finance systems, ensuring a cash and banking environment that is robust, efficient, and aligned with best practice.

Reporting to the Treasurer, leading a team of two Analysts and working closely with the Finance Operations and Treasury & Finance Systems teams, you’ll play a key role in implementing our new Treasury landscape. The Cash & Banking Manager’s key deliverables will be to complete the successful transition of existing cash management and banking admin operations from the current service provider to the business’s new in-house Treasury function, and support building out the target operating model.

The role focuses on operational resilience, alignment with the firm’s strategic objectives and ensuring regulatory compliance. The role requires close collaboration with stakeholders across the current service provider, Treasury Systems, Finance, Investments, Risk, Compliance, and external banking partners. The Cash & Banking Manager will play a key role in enabling a seamless transition with minimal disruption to the business-as-usual activities by providing clarity, traceability and oversight of Treasury cash and banking operations.

As Cash & Banking Manager, you will have primary responsibility for managing end-to-end cash management, ensuring the organisation maintains optimal liquidity to meet operational needs and strategic objectives. You will combine hands-on ownership of cashflow with a focus on working capital efficiency and liquidity buffer management.

  • Treasury Cash & Banking Operations
  • Business lead to validate and sign-off of cash management handovers and acceptance criteria from service provider.
  • Business lead to oversee the design, documentation, implementation and enhancement of end-to-end Treasury processes including liquidity, forecasting and payment workflows, from pre-transition to future state.
  • Business lead to design, implement and enhance treasury reporting activities.
  • Working closely with Treasury & Finance Systems, responsible for end-to-end testing activities for system changes and integrations, ensuring accuracy and compliance.
  • Cash Management
  • Lead team of two analysts to take full ownership of cash management, including daily positioning, visibility, pooling, and optimisation of cash balances across the organisation.
  • Cashflow Forecasting & Analysis
  • Manage short- to medium-term rolling cashflow forecasting, ensuring sufficient funding headroom while supporting efficient use of cash in line with business strategy.
  • Support investment of surplus cash.
  • Drive improvements in cash forecasting accuracy, including providing actionable insights to senior Finance and Treasury stakeholders.
  • Support integration of cash forecasts with long-term forecast aligned with business plan.
  • Currency Management & FX Execution
  • Implement strategies to identify and manage FX exposures arising from cashflows in UK and regional offices.
  • Work with regional finance teams to repatriate cash to the UK including countries with FX restrictions.
  • Banking & Bank Relationships
  • Maintain relationships with transactional banks, acting as key point of contact to resolve or escalate any service issues.
  • Maintain documentation of bank meetings, issues and service levels.
  • Work closely with banks to provide any ancillary services (FX platforms, cash pooling, daylight limits).
  • Design and oversee bank performance reporting.
  • Credit Facilities
  • Ensure compliance with credit facility agreements including covenant monitoring and calculation, utilisation, fee and interest payments.
  • Team Leadership & Development
  • Lead, coach, and develop a small team, with success evidenced by consistent, high‑quality delivery of Treasury outputs, clear individual development progression, positive stakeholder feedback, strong team engagement, and a robust control and governance environment.
  • Process Improvement & Treasury Excellence
  • Identify and lead opportunities to enhance cash management processes, improve controls and reporting, and embed best-practice treasury disciplines across the organisation.
  • Strategic & Change Initiatives
  • Lead and contribute to treasury projects focused on improving cash visibility, automation, forecasting accuracy, and overall liquidity management capability.
  • Stakeholder Engagement & Change Support
  • Act as the primary Treasury contact for cash-related matters, building trusted relationships with peers, regional finance teams and senior stakeholders, and influencing decisions that impact cash and liquidity.
  • Risk, Compliance & Assurance Analysis
  • Identify and assess risks relating to operational continuity, data integrity, and regulatory obligations.
  • Work with Risk & Compliance teams to ensure proposed processes and controls satisfy internal and external regulatory standards.
  • Treasury lead for audit activities by providing documentation, evidence trails, and process transparency.
  • Embed operational resilience and control considerations into requirement and process design.

What you’ll need:

For this particular role there are some important qualifications and experience we need you to have. These include:

  • Essential
  • Strong experience leading cash-focused, multi-currency, front office Treasury teams within insurance, financial services, or a complex corporate environment.
  • Experience in a new or rapidly transforming treasury function.
  • Deep understanding of cash management, liquidity, and cashflow forecasting, with exposure to FX activities and investments (money market funds).
  • Demonstrated experience with UK and international operational banking arrangements and cash pooling structures.
  • Demonstrated ability to interpret data and translate it into tactical insight and influence to strategic considerations.
  • Confident communicator, able to engage and influence senior stakeholders on cash and liquidity matters.
  • Proactive and commercially minded.
  • Demonstrated ability to conceptualise, implement and improve treasury processes end-to-end.
  • Strong problem-solving capability with attention to detail.
  • Experience working with cross-functional teams including Systems, Finance, Risk and Compliance.
  • Relevant degree, ACT accreditation or equivalent experience.
  • Desirable
  • Experience within a Lloyd’s syndicate or broader (re)insurance environment desirable but not essential.
  • Familiarity with regulatory frameworks (e.g., PRA, FCA, Lloyd’s Minimum Standards).
  • Experience with credit facilities including structures and pricing.

We are stronger together because of our common interests and rich differences. You may be the strength we didn’t know we needed. Believe in yourself, and click apply today!

Why Join Us

You’ll be joining a team that values growth, curiosity and collaboration. We’ll support you through your actuarial exams, give you access to a wide range of data and projects and encourage you to shape how reserving adds value to the wider business. If you’re motivated by learning, challenge and the chance to make an impact from day one, we’d love to hear from you.

What Can You Expect From Us?

As well as a competitive base salary and performance related discretionary bonus, here is a link to our employee benefits - Benefits of working at MS Amlin | MS Amlin.

Hybrid Working

At MS Amlin we operate a hybrid working model to empower our people with flexibility to blend where they work. We value collaboration and believe that we work better together, our teams typically do 3 days a week in the office.

About MS Amlin

MS Amlin is a leading (re)insurer and part of the global MS&AD Group, with operations across Lloyd’s of London, the Middle East, and Asia Pacific. With over 120 years of experience, we support businesses facing complex and demanding risks, providing continuity in an uncertain world. Our expertise covers Property, Casualty, Marine, Crisis Management, Natural Resources and Reinsurance, backed by strong underwriting capabilities and deep sector knowledge. At the core of our claims service is TRUST - Transparency, Responsiveness, Understanding, Solution-driven thinking, and Technical expertise. This defines how we manage claims and build lasting relationships.

DE&I at MS Amlin

We will build a workplace where all talent is welcomed, and everyone has the opportunity to influence how the business works. We have dedicated employee resource groups that support our Diversity, Equity, and Inclusion (DE&I) goals. MS Amlin is proud to be one of the founding partners of Lloyd’s Inclusive Futures programme which aims to get more Black and ethnically diverse people into the insurance industry - supporting them all the way from the classroom to the boardroom.

Cash & Banking Manager in London employer: MS Amlin

At MS Amlin, we pride ourselves on fostering a collaborative and inclusive work environment that empowers our employees to grow and thrive. As a Cash & Banking Manager in London, you will benefit from a competitive salary, performance-related bonuses, and a hybrid working model that promotes work-life balance. With a strong focus on professional development and a commitment to diversity, equity, and inclusion, you'll have the opportunity to make a meaningful impact while advancing your career in a leading (re)insurance firm.
MS Amlin

Contact Detail:

MS Amlin Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Cash & Banking Manager in London

✨Tip Number 1

Network like a pro! Reach out to your connections in the finance and treasury sectors. Attend industry events or webinars, and don’t be shy about introducing yourself. You never know who might have the inside scoop on job openings!

✨Tip Number 2

Prepare for interviews by researching the company’s cash management strategies and recent developments. Tailor your responses to show how your experience aligns with their needs. We want to see you shine, so practice common interview questions related to cashflow forecasting and liquidity management.

✨Tip Number 3

Follow up after interviews! A quick thank-you email can go a long way in keeping you top of mind. Mention something specific from your conversation to remind them why you’re the perfect fit for the Cash & Banking Manager role.

✨Tip Number 4

Don’t forget to apply through our website! It’s the best way to ensure your application gets seen by the right people. Plus, we love seeing candidates who are proactive about their job search!

We think you need these skills to ace Cash & Banking Manager in London

Cash Management
Liquidity Management
Cashflow Forecasting
FX Management
Banking Relationships
Regulatory Compliance
Team Leadership
Process Improvement
Stakeholder Engagement
Data Interpretation
Problem-Solving Skills
Communication Skills
Project Management
Operational Resilience

Some tips for your application 🫡

Tailor Your CV: Make sure your CV is tailored to the Cash & Banking Manager role. Highlight your experience in cash management, liquidity, and any relevant banking arrangements. We want to see how your skills align with what we're looking for!

Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you're the perfect fit for our team. Share specific examples of your past achievements in treasury functions and how they relate to the role. We love a good story!

Showcase Your Team Leadership Skills: Since this role involves leading a team, make sure to highlight your leadership experience. Talk about how you've developed teams in the past and the impact you've made. We value strong leaders who can inspire others!

Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way to ensure your application gets into the right hands. Plus, it shows us you're keen on joining our awesome team at StudySmarter!

How to prepare for a job interview at MS Amlin

✨Know Your Cash Management Inside Out

Make sure you brush up on your knowledge of cash management, liquidity, and cashflow forecasting. Be ready to discuss your experience with multi-currency operations and how you've handled FX activities in the past. This will show that you’re not just familiar with the concepts but have practical experience to back it up.

✨Demonstrate Leadership Skills

As a Cash & Banking Manager, you'll be leading a team of analysts. Prepare examples of how you've successfully led teams in the past, focusing on coaching, development, and achieving high-quality outputs. Highlight any specific instances where your leadership made a significant impact on your team's performance.

✨Engage with Stakeholders

This role requires close collaboration with various stakeholders. Think of examples where you've effectively communicated and influenced senior stakeholders regarding cash and liquidity matters. Show that you can build trusted relationships and navigate complex discussions with ease.

✨Be Ready for Process Improvement Discussions

The job involves identifying opportunities for enhancing cash management processes. Come prepared with ideas or examples of how you've improved processes in previous roles. This will demonstrate your proactive mindset and ability to contribute to the organisation's strategic objectives.

Cash & Banking Manager in London
MS Amlin
Location: London

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