Brewer Morris are currently recruiting for a Treasury Manager for an Insurance company based in London on a 12 month fixed term contract.
This is an exciting opportunity for an experienced Treasury Manager to support the function head within liquidity, managing liquidity, funding and in managing treasury risks.
Role and Responsibilites:
Delivery of management information including liquidity risk reports.
Ensuring the maintenance of a strong control environment and monitoring of compliance with risk policies, in particular the Liquidity and Funding Risk Policy and the Liquidity Framework.
Executing cash management, funding and/or structured investment transactions including the provision of liquidity management advice and recommendations to other areas of the Group where liquidity is not being managed directly.
Integration of new investment instruments into the liquidity management strategies and in the establishment of an appropriate risk management framework for those instruments.
Produce research on developments which could impact the funding or liquidity position of the company e.g. IFRS 17, Solvency 2 updates, Money Market Fund development.
Successful Candidate will have experience in :
Treasury Management role
Money / Debt Capital Markets
Find out more and apply
If this role is of interest please contact Ryan Dolan on 0207 415 2800 or email email@example.com