Manager, Treasury
: Job Details :


Manager, Treasury

AXA XL

Location: Stamford,CT, USA

Date: 2024-05-12T11:54:27Z

Job Description:

Manager, Treasury

Stamford, CT I USA

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 Finance professional who has chosen Treasury as their area of expertise. You will play an important part in a high performing team within AXA XL Global Treasury, which is responsible for the division s liquidity and foreign currency management, and bank relationships.

The successful candidate will gain an outstanding insight into the full workings of a global Treasury environment, including team leadership, project management, cashflow forecasting and budgeting and to a lesser extent Investment Management. In the role, the candidate will also manage internal and external stakeholders, with a focus on projects that drive process efficiency leveraging the latest technology.

This permanent, full-time role based in Stamford, CT.

DISCOVER your opportunity

What will your essential responsibilities include?

  • Leading the Treasury Front Office team in the Americas, which is responsible for all aspects of short-term liquidity management in the region. This involves stakeholder management across various business functions and banking counterparties.
  • Providing local leadership and management oversight to other Treasury teams in the region, supporting wider collaboration and alignment between the teams, and with the wider Investment community
  • Managing relationships with key banking partners (mainly but not solely in the Americas region) on all important topics including new banking services, service quality levels, new technology and system integration; with the aim to optimize AXA XL s banking infrastructure and support business growth.
  • Constantly improving Treasury-related management reporting as well as broader cash-related analytics, including forward-looking views AXA XL s short- and longer-term cashflow forecasting and budgeting
  • Driving adoption of new technology and treasury products to support efficiency and greater accuracy in Treasury analytics, with the aim to optimizing cash management activities and reducing manual processes

The role will require the successful candidate to identify and build effective relationships with a range of important 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.

Apply Now!

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