Job Description
Roles and Responsibilities
Lead cash/liquidity management by monitoring daily cash balances, developing/maintaining cash forecasts and directing funding strategies
Manage external credit facilities and make recommendations based on cash forecast, cost assessment and use of funds. Advise on timing/duration of facility usage
Develop and implement short-term (ST) investment strategies to maximize returns on surplus funds, considering risk tolerance and market conditions
Oversee reinsurance trust portfolios (~$30B) and ensure fulfilment of trust obligations. Manage, instruct, and support asset-related operational activities for trusts (incl. asset movements, settlements, retitlements, documentation etc.). Perform research on asset holdings/positions. Lead asset transition activities across investment portfolios and reinsurance trust structures
Develop and manage KPIs/risk metrics and governance structures related to liquidity management, debt/ST investment management and trust oversight. Ensure compliance with internal guidelines and external/regulatory requirements; escalate issues as needed
Develop and manage real-time reporting/dashboards to provide accurate and actionable information for decision-making, enable compliance with risk parameters and ensure internal and external reporting
Collaborate with key internal (incl. Investment Management, Investment Accounting, Risk) and external (incl. bank custodians, investment managers, ceding insurance companies) stakeholders to drive optimal processes as well as lead transformation and simplification initiatives.
Desired Characteristics
Master’s degree in a related field, Chartered Financial Analyst (CFA) and/or Certified Treasury Professional (CTP) preferred Proven to be effective driving outcomes in large, matrixed organizations - understands how to navigate geographies, cultures, relationships, etc. Problem solver: analytical-minded, challenges existing processes, critical thinker Quick learner, can-do-attitude, self-starter, strategically prioritizes work Strong organizational and project management skills, ability to create efficiencies Highly collaborative person, comfortable with conflict and debate normally associated with change
Required Qualifications
Bachelor’s degree in finance, economics, accounting, mathematics or related field
8+ years of relevant experience; 3+ years of experience in capital markets preferred
Strong knowledge of financial instruments, cash management, and investment strategies.
Experience with securitized lending/borrowing a plus
Experience with financial systems and advance technical skills including proficiency working with Microsoft Office suite
Strong communication and interpersonal skills to interact effectively across the organization, as well as with external partners
Additional Information
GE offers a great work environment, professional development, challenging careers, and competitive compensation. GE is an Equal Opportunity Employer. Employment decisions are made without regard to race, color, religion, national or ethnic origin, sex, sexual orientation, gender identity or expression, age, disability, protected veteran status or other characteristics protected by law.
GE will only employ those who are legally authorized to work in the United States for this opening. Any offer of employment is conditioned upon the successful completion of a drug screen (as applicable).
Relocation Assistance Provided: No