Cash and Risk Management Executive

2 weeks ago


London, Greater London, United Kingdom AXA XL Full time

About the Role

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This exciting role is an integral part of the Division's Investment Department and is responsible for the division's liquidity and foreign currency management, and bank relationships.

The successful candidate will play an important part in a high-performing team within AXA XL Global Treasury, which drives process efficiency leveraging the latest technology.

Key Responsibilities:

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  2. Manage internal and external stakeholders with a focus on projects that drive process efficiency.
  3. Provide thought leadership on Treasury-related management reporting and broader cash-related analytics.
  4. Drive adoption of new technology and treasury products to support efficiency and accuracy in Treasury analytics.
  5. Manage relationships with key banking partners (mainly but not solely in the EU and APAC regions).


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