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VP, Deputy Treasurer

F&G

United States

Hybrid

USD 140,000 - 155,000

Full time

14 days ago

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Job summary

F&G is seeking a dedicated VP, Deputy Treasurer to enhance liquidity management and support capital strategies. This executive role involves leading liquidity operations, collaborating with senior management and external partners, and spearheading financial initiatives to ensure the success of F&G's strategic goals. Ideal candidates will have extensive experience in finance, strong analytical skills, and a proven ability to lead multi-departmental efforts.

Benefits

Flexible work environments (in-office, hybrid, remote)
Professional development opportunities

Qualifications

  • 15+ years of professional finance experience in life & annuity insurance or banking.
  • 5+ years of experience in Treasury/Capital Markets.

Responsibilities

  • Lead development of firm liquidity strategy and manage Treasury Operations.
  • Develop short-term cash management strategies and establish cash forecasting.

Skills

Strong communication
Leadership
Analytical skills

Education

Bachelor’s Degree in Accounting, Finance, Actuarial, Business
MBA, CPA, or CFA

Tools

Excel
Microsoft Office
Bloomberg

Job description

Join to apply for the VP, Deputy Treasurer role at F&G

Join to apply for the VP, Deputy Treasurer role at F&G

Job Summary

The

Job Summary

The VP, Deputy Treasurer will serve as a key member of the Finance leadership team responsible for delivering value-added liquidity management solutions in support of enterprise-wide decision-making, debt management, and achieving targeted liquidity and capital profile for F&G. The position will also lead efforts to develop and execute capital raising strategies that meets the long-term liquidity and growth objectives of the organization. This position will be a key point of contact for funding and liquidity considerations across all entities, the organization’s overall liquidity metrics, and the development of different liquidity solutions to meet our company’s strategic goals.

This position reports to the SVP, Capital Management & Treasurer and will interact with multiple teams throughout the organization and all levels of senior management. Additionally, this position will serve as the primary contact for banking partners across the suite of products for consideration in F&G’s liquidity strategy and capital markets issuances. This position will lead teams dedicated to developing and monitoring liquidity strategies across all operating entities and for cash forecasting/cash operations including direct leadership of the Treasury function and the Treasury Operations team.

Duties And Responsibilities

  • Lead development of firm liquidity strategy and works to align overall strategy with business needs, desired liquidity profile, and capital structure across all operating and holding companies.
  • Develop market recommendations to ensure F&G maximizes its available opportunities in debt, equity, and funding agreement markets, ensuring desired capitalization ratios, spread enhancement and ALM profile. Manage Treasury Operations and Liquidity Management to meet the changing needs of the business.
  • Partner with key stakeholders to establish and monitor cash forecasting framework, including development of reports to ensure accuracy of cash reporting and identify potential funding needs
  • Develop and execute short-term cash management strategy, maximizing return on excess cash and establishing a framework for short-term investment with Risk and CIO.
  • Collaborate across the organization to ensure the liquidity impacts of overall firm strategies are understood, including the need for any external funding sources.
  • Develop and expands F&G relationships with relevant stakeholders (e.g.; FNF, banking partners, rating agencies) on liquidity plans, capital markets issuances, funding alternatives, and market performance.
  • Primary contact for direct communication with DCM banking teams to gather market color, understand opportunities and risks, and proactively consider forward looking strategy.
  • Develop and participate in debt investor outreach, increasing F&G’s profile with credit investors to broaden investor base and increase deal participation.
  • Develop and present all relevant liquidity material and capital markets transactions to Capital Committee and other Committees as necessary.
  • Collaborate with the risk team to assess market risks and opportunities and develop a rigorous risk framework around issuance and short-term liquidity stress testing.
  • Partner with other areas of the organization on strategic initiatives and corporate development activities. Leads and develops models and ensures the appropriate funding/capital profile is achieved.
  • Ad hoc liquidity decision support requests

Experience And Education Requirements

  • Bachelor’s Degree in Accounting, Finance, Actuarial, Business or related field
  • 15+ years of professional finance experience in life & annuity insurance companies or banking firms
  • 5+ years of experience in Treasury/Capital Markets
  • MBA, CPA, or CFA strongly preferred

Knowledge, Skills & Abilities

  • Strong communication, organization and interpersonal skills necessary to establish and maintain effective working relationships with others.
  • A passion for new challenges, leadership, and delivering results.
  • Strong knowledge of fixed income markets, corporate finance, and company valuation methods
  • Ability to represent F&G professionally with investors and other stakeholders
  • Ability to direct a multi-departmental team toward a common goal
  • Strong intuitive and analytical skills; Ability to think ahead and conduct strategic planning.
  • Ability to handle multiple complex tasks and prioritize in a fast-paced environment.
  • Expertise to improve processes and utilize technology to make procedures and processes more efficient.
  • Focus on advanced issue resolution.
  • Demonstrated track record of staff development and team organization, including the ability to hire additional effective team members.
  • Excellent Excel and Microsoft Office skills
  • Bloomberg proficiency

Other Requirements

  • Perform other functions, duties and projects as assigned
  • Regular and punctual attendance
  • Some travel may be required (10%-15%)

#IND-HP

Additional Information

Work Environments

F&G believes in an employee-centric flexible environment, which is why we offer the ability for in-office, hybrid and remote work arrangements. During the hiring process, you'll work with your leader to decide what works best for your role.

F&G complies with federal and state disability laws and makes reasonable accommodations for applicants and candidates with disabilities, unless such accommodation would cause an undue hardship for F&G. If reasonable accommodation is needed to participate in the job application or interview process, please contact talentacquisition@fglife.com.

Join our employee-centric hybrid work environment: F&G Careers

About F&G

Since 1959, Fidelity & Guaranty Life Insurance Company (F&G) has offered annuity and life insurance products to those who are seeking security in retirement and protection during life’s unexpected events.

As a national Top Workplace1, an Iowa Top Workplace2 and a proud equal opportunity employer, F&G team members are empowered, collaborative, dynamic and authentic. We believe that by embracing these values, we will continue to build and strengthen the company while continuing to be a great place to work.

1Top Workplaces USA 2022 – 2023

2Des Moines Register Top Workplaces 2018 – 2022

Notice for all Applicants who are California residents under the California Privacy Rights Act. Please click here to review the policy.

Seniority level
  • Seniority level
    Executive
Employment type
  • Employment type
    Full-time
Job function
  • Job function
    Finance and Sales
  • Industries
    Insurance

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