Job Description
Global Atlantic is seeking a highly motivated individual for the role of Reinsurance Operations, Insurance Liquidity. This role involves overseeing daily liquidity and partnering with the KKR Insurance Investments team to align deployment with cash resources. The individual will collaborate with various teams to develop and execute a proactive cash management strategy.
Responsibilities: - Serve as the centralized coordinator across KKR Insurance Operations, Finance, Treasury, and Risk teams.
- Develop a strong understanding of insurance-specific structures and regulatory nuances.
- Collaborate with Risk, ALM, and Portfolio Construction teams to ensure trust and portfolio allocations remain within defined guidelines.
- Partner with the Trading Desk, Investment, and Treasury Operations teams to monitor intraday cash positions.
- Contribute to the design and implementation of a short-term cash management framework.
- Support the ongoing enhancement of liquidity infrastructure, tools, and reporting.
- Provide data-driven insights and analysis to inform strategic decision-making.
Requirements: - 5+ years of experience with cash and liquidity management in an asset management or insurance business.
- Strong understanding of broader treasury operations functions.
- Familiarity with short-term cash markets.
- Proven ability to work cross-functionally with finance, risk, operations, and investment teams.
- Exceptional analytical and problem-solving skills.
- Effective communicator.
- Entrepreneurial mindset.
The role offers: - Opportunity to be part of a newly created Reinsurance Operations function.
- Partnership with the broader firm’s liquidity management function.