Flexible Work, Better Balance
Cash & Banking Lead
An opportunity to join a global insurance group as it continues to strengthen and develop its in-house treasury capability.
This role sits within a complex, regulated environment and will play a key part in managing cash, banking and liquidity activities, while supporting broader transformation across the treasury function.
The role
You will take ownership of cash and banking operations across a multi-entity, multi-currency insurance group, ensuring strong control, visibility and efficiency across the organisation’s liquidity position. This role combines day-to-day treasury ownership with involvement in shaping and evolving the treasury operating model as activities transition in-house.
Key responsibilities