Specialist, Treasury at AXA
Dublin, County Dublin, Ireland -
Full Time


Start Date

Immediate

Expiry Date

17 Jul, 25

Salary

0.0

Posted On

17 Apr, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Ethnicity, Analytical Skills, Communication Skills, Payment Solutions, P&C, Finance, It

Industry

Financial Services

Description

SPECIALIST - TREASURY FRONT OFFICE, INVESTMENTS

DISCOVER your opportunity
AXA XL is a global Insurance and Reinsurance provider operating in over 200 countries.
This is a very exciting role for a Treasury professional who wants to join a high performing team within AXA XL Global Treasury, which is an integral part of the Division’s Investment Department and is responsible for the division’s foreign currency and cash management, bank relationships and credit facilities.
The role will allow the successful candidate to contribute meaningfully to the division’s currency ALM objectives and to the full scope of the team’s day-to-day cash currency management activities, with a particular focus on cash and cashflow optimization, analytics and forecasting, and stakeholder management

Responsibilities of the role include:

  • Driving rigorous analysis of foreign currency exposures at subsidiary and divisional level from both an economic and accounting perspective, and to establish an optimal cash and derivative FX transaction strategy using internal or bank counterparties
  • Building solid relationships with a range of stakeholders, including various parts of the business, Capital Modelling, Investment Management, and Corporate and Regional Finance to understand the underlying drivers of currency risk and to drive alignment and collaboration throughout the division
  • Monitoring cash levels each day across subsidiaries in multiple currencies, banks and jurisdictions, and select the optimal means of funding the business and investing surplus cash across short-term deposits, money market funds, cash pools, and investment portfolios
  • Driving collaboration and innovation between cash management and currency management specialists within Treasury Front Office, and across Treasury Middle Office and Operations teams to continuously raise the bar and drive Treasury excellence
  • Supporting continuous improvement in the division’s ability to accurately forecast upcoming movement is currency exposures and in the sources and uses of cash
  • Driving improvement in the team’s management reporting and the use of the Treasury Management System
  • Leading or participating in various projects of all sizes aimed at driving simplification and efficiency in the division’s banking and cash management infrastructure, reporting automation and data analytics.
  • And any other Treasury-related responsibilities that may arise

SHARE YOUR TALENT

We’re looking for someone who has these abilities and skills:

  • Outstanding analytical skills, with an inquisitive mind, attention to detail and an ability to link the results of your own work to the broader business results and strategies
  • Proactive, self-motivated attitude with ability to thrive in a fast-paced, internationally and culturally diverse work environment
  • Strong understanding of treasury systems, banking operations, and payment solutions.
  • Ability to work independently and as part of a team and to lead or assist in the planning and implementation of projects and tasks
  • Strong written and verbal communication skills to articulate complex ideas and influence outcomes at all organizational levels
  • Desire to adopt new analytics and reporting technologies
  • Five to seven years’ experience in P&C (re)insurance industry, with deep understanding of insurance principles in Treasury contexts is a plus
  • Honor’s degree in Accounting, Finance, or Treasury are required, and additional academic or professional qualifications (ACT, ACCA) are a plus
Responsibilities
  • Driving rigorous analysis of foreign currency exposures at subsidiary and divisional level from both an economic and accounting perspective, and to establish an optimal cash and derivative FX transaction strategy using internal or bank counterparties
  • Building solid relationships with a range of stakeholders, including various parts of the business, Capital Modelling, Investment Management, and Corporate and Regional Finance to understand the underlying drivers of currency risk and to drive alignment and collaboration throughout the division
  • Monitoring cash levels each day across subsidiaries in multiple currencies, banks and jurisdictions, and select the optimal means of funding the business and investing surplus cash across short-term deposits, money market funds, cash pools, and investment portfolios
  • Driving collaboration and innovation between cash management and currency management specialists within Treasury Front Office, and across Treasury Middle Office and Operations teams to continuously raise the bar and drive Treasury excellence
  • Supporting continuous improvement in the division’s ability to accurately forecast upcoming movement is currency exposures and in the sources and uses of cash
  • Driving improvement in the team’s management reporting and the use of the Treasury Management System
  • Leading or participating in various projects of all sizes aimed at driving simplification and efficiency in the division’s banking and cash management infrastructure, reporting automation and data analytics.
  • And any other Treasury-related responsibilities that may aris
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