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The SVP Treasury & Capital Planning will be responsible for reporting on, planning for and solving the capital needs of the organization to meet both internal and external stakeholder requirements.Responsibilities:Assist with development and analytical processes for optimal capital structure, including ability to analyse capital return options; cost of capital; capital management alternatives including share buybacks and dividends.Establish and maintain multiyear planning capabilities to help support:Management of regulatory and rating agency capital needs.Development of timelines for required action.Development of solutions to increase capital efficiency.Support investment planning and perform scenario analysis.Development of an integrated reporting system to facilitate the flow of information between Risk and FP&A.Corporate finance responsibilities:Create a detailed capital structure analysis and evaluate optimization opportunities.Develop internal financial models and presentations for various corporate finance activities.Enhance capital allocation models to develop segmental reporting capabilities.Capital markets transaction support:Conduct and help manage capital markets transaction processes.Assist with development of investor/roadshow presentations, in coordination with IR.Provide support in managing relationships with all major banks.Assist in managing the Company’s liquidity in close cooperation with risk management, and manage process to present liquidity, capitalization, and funding to management team.Develop relationships with finance heads across the company’s various balance sheets to devise solutions and optimize cost/efficiencies in our funding activities.Technology solutions including project design, development, and implementation to enhance the efficiency of process workflow and improve analytical capabilities.Keep abreast of competitor corporate finance related initiatives/decisions.Ad-Hoc capital projects (e.g. balance sheet restructurings, e.g. coordinating with regulators, capital planning etc.).Education, Skills & Experience:A university degree is required; an advanced degree is advantageous.Relevant professional designation such as CA/CPA/ACCA or CFA is required.At least 15 years prior relevant industry experience, preferably insurance or reinsurance industry experience; with at least five years in a senior position.Significant knowledge of U.S. GAAP, specifically aspects pertaining to insurance/reinsurance companies, gained in either a public insurance/reinsurance company or Big 4 accounting firm environment.Knowledge of budgeting and planning systems and proven experience with systems implementation.Solid understanding of risk management, and/or corporate finance, banking, and capital markets, specific to (re)insurance companies.Strong understanding of financial modelling and peer analysis.Detail oriented with the ability to manage complex series of periodic reporting/compliance obligations.Working knowledge of dynamic financial analysis and its application to capital structure management.Excellent analytical skills (financial analysis and financial modelling).Continually assesses work methods, processes, and outcomes to drive improvement and/or business growth.Manages resources proactively and effectively, and leverages all available information, people, and technology to deliver results.Develops, in advance, innovative solutions to capitalise on opportunities and solve problems.Regularly assesses personal and/or team progress toward goal achievement.Strong background in business process reviews and analysis, finance systems and internal controls.Specialized expertise in dynamic financial analysis and its application to capital structure management.Specialized expertise in alternative asset classes, liquidity implications, and capital implications in the context of complex multi-jurisdictional balance sheet structures.Specialized expertise in Monte Carlo simulation applied to capital management and capital structure.Specialized expertise in capital allocation by business segment and Regulatory Jurisdiction, which informs practical constraints on capital and liquidity management.Experience developing relationships with finance heads and cross functional workflows.Strong computer skills, in particular excellent working knowledge of Microsoft Office, Bloomberg, and other treasury applications.This is a fast-paced business environment, demanding a strong work ethic and a results-oriented approach.
Requirements
A university degree is required; an advanced degree is advantageous.Relevant professional designation such as CA/CPA/ACCA or CFA is required.At least 15 years prior relevant industry experience, preferably insurance or reinsurance industry experience; with at least five years in a senior position.Significant knowledge of U.S. GAAP, specifically aspects pertaining to insurance/reinsurance companies, gained in either a public insurance/reinsurance company or Big 4 accounting firm environment.Knowledge of budgeting and planning systems and proven experience with systems implementation.Solid understanding of risk management, and/or corporate finance, banking, and capital markets, specific to (re)insurance companies.Strong understanding of financial modelling and peer analysis.Detail oriented with the ability to manage complex series of periodic reporting/compliance obligations.Working knowledge of dynamic financial analysis and its application to capital structure management.Excellent analytical skills (financial analysis and financial modelling).Continually assesses work methods, processes, and outcomes to drive improvement and/or business growth.Manages resources proactively and effectively, and leverages all available information, people, and technology to deliver results.Develops, in advance, innovative solutions to capitalise on opportunities and solve problems.Regularly assesses personal and/or team progress toward goal achievement.Strong background in business process reviews and analysis, finance systems and internal controls.Specialized expertise in dynamic financial analysis and its application to capital structure management.Specialized expertise in alternative asset classes, liquidity implications, and capital implications in the context of complex multi-jurisdictional balance sheet structures.Specialized expertise in Monte Carlo simulation applied to capital management and capital structure.Specialized expertise in capital allocation by business segment and Regulatory Jurisdiction, which informs practical constraints on capital and liquidity management.Experience developing relationships with finance heads and cross functional workflows.Strong computer skills, in particular excellent working knowledge of Microsoft Office, Bloomberg, and other treasury applications.
Salary
Not specified
Benefits
Professional Development
Performance Bonuses
Employee Assistance Program
How to Apply
Written applications with Curriculum Vitae should be submitted via our Careers Portal at http://opportunities.renre.com/.
⚠️ HOW TO APPLY - PLEASE READ: Follow the instructions found within this job listing:
➤ The "Apply Now" Button: If visible, this link may redirect you to an external website (not BermudaJobFinder) which may require you to create an account.
➤ Direct Application: If the job listing asks you to apply directly but the contact info is missing, please search for the hiring company online to find their details.
BermudaJobFinder is a job board and does not recruit, place candidates or accept applications. Please do not reply to email alerts with your resume.