I am currently recruiting for a Treasury Manager to work in a Lloyd's insurers based in London. The role is a 6-9 month FTC, and offers a competitive salary.
Day to day responsibilities include;
- Completion of the QAD and AAD returns to Lloyd's
- Review of quarterly risk reports and presentation of these risks to the FRSC
- Monitoring of cash daily and considering transfer of cash to investment managers
The ideal candidate will have;
- Ability to analyse and interpret financial information and work to a high level of accuracy
- Knowledge of the Lloyd's market and syndicate operations, including Lloyd's Trust Fund requirements
- Treasury Management Skills
If this is something of interest, please apply online with a copy of your up to date CV