Specialist, Treasury Front Office

at  XL Catlin

London, England, United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate05 Feb, 2025Not Specified06 Nov, 2024N/AIt,Finance,Ethnicity,Analytical Skills,Interpersonal SkillsNoNo
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Description:

SHARE YOUR TALENT

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

REQUIRED SKILLS AND ABILITIES:

  • Honour’s degree in Accounting, Finance or Treasury, preferably with further academic or professional qualifications (e.g., IACT or AMCT Treasury qualification) or intention to study for this
  • Extensive experience gained working within the P&C (re)insurance industry, with demonstrated understanding of insurance principles, and application thereof within the Treasury environment
  • Robust communication and interpersonal skills to interact effectively at all organizational levels
  • Ability to navigate complex global enterprises and influence outcomes
  • Outstanding analytical skills, with an inquisitive attitude, attention to detail and an ability to link the results of your own work to the broader business results and strategies
  • A positive, proactive, self-motivator who is adaptable in a fast-moving global environment with the capacity to manage time, work to tight deadlines, prioritise and adjust to changing requirements

Responsibilities:

  • Steering the Treasury Front Office Cash Management operation in EU/APAC, being responsible to carry out all aspects of short-term liquidity management in close collaboration with the Treasury Manager.
  • Leading projects related to cash management to incorporate industry best practices and improvement opportunities, fostering wider collaboration between the teams
  • Constantly improving cash management reporting and analytics, including forward-looking views of AXA XL’s short- and longer-term cashflow forecasting and budgeting
  • Adopting new technologies like Artificial Intelligence to support efficiency and greater accuracy in Treasury analytics, in particular using our TMS tool, with the aim to optimizing cash management activities and reducing manual processes
  • Managing relationships with key banking partners (mainly in the EU and APAC regions) to optimise banking transactions and infrastructure, to capture interest optimisation opportunities in order to maximise interest income
    The role will require the successful candidate to operate and run an effective cash management operation in EU/APAC in collaboration with a range of stakeholders across AXA XL and AXA Group to drive ongoing exposure management and process improvement.
    You will report to the Head of Treasury Front Office.
    SHARE your talent


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Banking / Insurance

Accounts Management

Graduate

Accounting, Finance

Proficient

1

London, United Kingdom