Director of Treasury
Seeking Treasury Director to lead enterprise treasury operations and oversee cash and liquidity strategy across the organization. This role is responsible for ensuring efficient cash management, strong banking relationships, and well-controlled treasury processes that support financial stability within a regulated life insurance environment.This is a highly visible leadership position partnering across Finance, Actuarial, Investment Management, IT, and external banking partners. The ideal candidate brings deep treasury expertise, a strong controls mindset, and a track record of driving operational transformation and strategic decision-making.Key ResponsibilitiesOwn and oversee end-to-end treasury operations, including cash forecasting and positioning, bank account management, payment processing, unclaimed property, cash accounting, and reportingEstablish and maintain robust treasury policies, internal controls, and operational frameworks to ensure regulatory compliance and financial integrityLead enterprise liquidity planning and provide strategic insights to senior leadership on cash management and funding needsManage and strengthen banking relationships, serving as the primary point of contact and subject matter expert on treasury-related mattersDrive treasury transformation initiatives, including system implementations, banking technology enhancements, and process improvementsPartner cross-functionally with Finance, IT, Actuarial, Investment Management, and external vendors to deliver treasury initiatives and optimize workflowsDevelop data-driven insights and performance metrics to enhance decision-making, identify inefficiencies, and close control gapsOversee treasury systems, tools, and reporting processes to ensure accuracy, efficiency, and scalabilityLead continuous improvement efforts to modernize treasury operations and elevate organizational capabilitiesProvide leadership, coaching, and development to a high-performing treasury teamQualificationsBA/BS in Finance, Accounting, Business Administration, or related field10+ years of experience in treasury, finance, or related leadership rolesStrong expertise in cash management, liquidity planning, and treasury operationsExperience operating within a regulated financial services or insurance environment preferredDemonstrated success leading transformation initiatives, including system implementations and process improvementsStrong understanding of internal controls, compliance, and risk management frameworksProven ability to build and manage banking relationships and external partnershipsExperience working cross-functionally with senior leadership and multiple business unitsStrong analytical, communication, and leadership skills with a focus on team development and operational excellence