Leads, manages and directs corporate financial functions of treasury, including operational goals surrounding risk management, foreign exchange exposure, custody of funds, compliance, Institutional products and cash management. Responsible for the execution and analysis of capital management activities including capital markets activity (debt, hybrid, equity raises; Institutional products (FABN), share repurchases). Establishes worldwide credit facilities, oversees the investment of operational cash and assists in the prudent management of derivatives within RGA. Evaluates value propositions, engages in strategic discussions and drives potential deals to completion. Oversees the functions of the Treasury Department and Capital Raising. Ensures alignment and coordination with all other areas of the company to execute on corporate business strategies and vision.
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Job Type
Full-time
Career Level
Executive