Banking & Finance

Assistant Treasury Manager

  • Permanent Position
  • REF Number : 351
On behalf of our Client, we are seeking a full-time Assistant Treasury Manager to join their Bermuda based office.

The Assistant Treasury Manager will manage local Treasury operations and requires the individual to work on their own initiative.

The successful candidate will primarily be responsible for:


  • Monitoring cash position, short-term investing and borrowing, fraud prevention, other related cash management functions.
  • Ensuring the Treasury control environment is adequately designed and operating effectively.
  • Supporting the Group Treasurer in implementing strategic objectives for Treasury.
  • Assisting in developing a resilient Treasury infrastructure that will meet the needs of the company and grow with the business.
  • Partnering effectively with other business areas including Investments, Finance, Tax, Legal, IT achieve goals.
  • Acting as the primary contact for transactional, custody and other banking.
  • Monitoring financial risk from local entities' business activities including liquidity, foreign exchange, and counterparty risks.
  • Working with Corporate Treasury Manager to implement intergroup financing arrangements.
  • Ensuring compliance with internal controls, policies and procedures in day-to-day conduct and supervision of Treasury activities.
  • Maintaining Treasury policies and procedure manuals as well as Business Continuity Plans to ensure all are executable and current.
  • Recommending and implementing appropriate Treasury Policies and Procedures that streamline, automate, and simplify or improve existing processes and controls. 
  • Working with other Regional Treasury Managers to develop consistent best practices globally.

The successful candidate will have:

  • A Bachelor’s degree or equivalent in accounting / finance or related field preferred.
  • Treasury (CTP) or other finance related professional designation preferred.
  • A minimum of two - five years' similar professional experience at an international company.
  • A solid knowledge of Treasury - including cash management, foreign currency, etc. is required.
  • Insurance/Reinsurance industry experience is strongly preferred.
  • The ability to work in a fast paced environment and prioritize multiple projects and concurrent tasks.
  • Effective communication skills and be personally accountable and responsive with the ability to lead with a high degree of professionalism and possess the business maturity to navigate change within the organization.
  • The ability to use sound judgement and decision making capabilities to anticipate demands and actively manage departmental needs.
  • A strategic, global approach to analyzing and solving problems while maintaining attention to detail.
  • The motivation to take on special projects and continuously work to improve the effectiveness and efficiency of Treasury operations.

For more information, or to confidentially apply for this position - please contact:

Stephanie Thomason Tel: 296-0497 or via email:



We look forward to working with you!


  • Permanent Position
  • REF Number : 351

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