drjobs Associate, Reinsurance Treasury

Associate, Reinsurance Treasury

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1 Vacancy
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Job Location drjobs

Boston - USA

Monthly Salary drjobs

$ 100000 - 130000

Vacancy

1 Vacancy

Job Description

COMPANY OVERVIEW

Global Atlantic Financial Group is a leading insurance company meeting the retirement and life insurance needs of individuals and institutions. With a strong financial foundation and risk and investment management expertise the company delivers tailored solutions to create more secure financial futures. The companys performance has been driven by its culture and core values focused on integrity teamwork and the importance of building longterm client relationships. Global Atlantic is a whollyowned subsidiary of KKR a leading global investment firm. Through its relationship the company leverages KKRs investment capabilities scale and access to capital markets to enhance the value it offers clients. KKRs parent company is KKR & Co. Inc. (NYSE: KKR).

KKR is seeking a highly motivated entrepreneurial and innovative individual to drive and coordinate liquidity management and transaction funding across our insurance business. The primary focus of this role is to oversee daily liquidity while partnering closely with the KKR Insurance Investments team to ensure that deployment is aligned with cash resources. This position will work collaboratively with the Liquidity Risk Treasury Operations and Insurance Investments teams to support the development and execution of a robust proactive and continuous cash management strategy.

KEY RESPONSIBILIITES

  • Serve as the centralized coordinator across KKR Insurance Operations Finance Treasury Risk. Including ALM and Investments teams to ensure that capital deployment aligns with liquidity reporting.
  • Develop a strong understanding of insurancespecific structures and regulatory nuances that can be applied to support effective and efficient transaction execution.
  • Collaborate with the Risk ALM and Portfolio Construction teams to ensure trust and portfolio allocations remain within defined guidelines and limits as capital is deployed.
  • Partner with the Trading Desk Investment and Treasury Operations teams to monitor intraday cash positions and ensure deployment strategies are consistent with broader investment objectives.
  • Contribute to the design and implementation of a shortterm cash management framework that optimizes cash deployment to balance efficiency and yield generation.
  • Support the ongoing enhancement of liquidity infrastructure tools and reporting to enable scalable and forwardlooking treasury operations.
  • Provide datadriven insights and analysis to inform strategic decisionmaking related to cash flow and investment pacing.

This role will be a part of a newly created Reinsurance Operations function and will partner closely with the broader firms liquidity management function to ensure that we take a consistent approach to governance and technology.

REQUIRED EXPERIENCE

  • 5 years of experience with cash and liquidity management in an asset management or insurance business
  • Strong understanding of broader treasury operations functions including liquidity reporting settlement mechanics and cash flow forecasting
  • Familiarity with shortterm cash markets such as money markets commercial paper and related instruments.
  • Proven ability to work crossfunctionally with finance risk operations and investment teams in a fastpaced dynamic environment.
  • Exceptional analytical and problemsolving skills and keen attention to detail.
  • Effective communicator with the ability to translate complex financial information into clear actionable insights.
  • Entrepreneurial mindset with a proactive ownershipdriven approach to solving challenges and improving processes.

IDEAL EXPERIENCE

  • Prior experience on a cash trading desk or within treasury operations with a focus on liquidity management and shortterm investing and/or experience within fund finance

Various jurisdictions have passed pay transparency laws that require companies provide salary ranges for any positions for which they are accepting applications. Global Atlantic has offices in Atlanta Batesville Bermuda Boston Des Moines Hartford Indianapolis and New York City. The base salary range posted below is inclusive of the lowest cost of living geography to the highest in which we have a Global Atlantic office.

Global Atlanticsbase salary rangeis determined through an analysis of similar positions in the external labor market. Base pay is just one component of Global Atlantics total compensation package for employees and at times we hire outside the boundaries of the salary range. Other rewards may include annual cash bonuses longterm incentives (equity) generous benefits (including immediate vesting on employee contributions to a 401(k) as well as a company match on your contributions) and sales incentives. Actual compensation for all roles will be based upon geographic location work experience education licensure requirements and/or skill level and will be finalized at the time of offer. Compensation for our more senior positions have a larger component of shortterm cash bonus and longterm incentives.

The base salary for this role will be $100000 $130000.

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Required Experience:

IC

Employment Type

Full Time

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