Treasury Controller

  Finance & Accountancy

  London

  £80,000

Reference: HH/RF-11332

A global insurance and reinsurance business is seeking an experienced Treasury professional from the insurance industry to join them as the Treasury Controller for their London office.

Reporting to the Deputy Group Treasurer and joining a team of 7 you will manage liquidity cash flow forecasting, currency exposure analysis and collateral management rationalization, work closely with the Deputy Treasurer in various improvement initiatives and global projects, monitor SOX controls, assist with system implementations, aid with liquidity management strategy, and assist with cash management initiatives and improvements.

Suitable applicants will have at least 5 years of relevant treasury experience gained within the insurance / reinsurance industry, have knowledge of accounting controls e.g., UK GAAP, US GAAP, SOX etc. and demonstrate a genuine interest in Treasury and liquidity management related activities.

 


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Neal Pavitt

Neal Pavitt

020 4537 4003