Head of Treasury overseeing financial risks, liquidity, and cash flow at Great-West Lifeco. Leading strategic treasury operations and ensuring compliance with policies across subsidiaries.
Responsibilities
Provide strategic oversight of banking relationships, financing arrangements (including intercompany arrangements), and cash management activities, while collaborating with various teams to align treasury strategies with overall business objectives
Manage liquidity across all subsidiaries and develop cash flow forecasting to assess and meet operational and strategic needs, including short-term surplus asset oversight
Implement and integrate global treasury technology solution
Oversee and report on CRS segment and local regulatory capital level
Act as the primary link between risk management, capital management, and finance teams to ensure alignment of methodologies, assumptions, and outputs
Coordinate and analyze forecasting and budgeting for capital and risk metrics ensuring data quality and consistency with earnings forecast and budget and incorporating stress testing and scenario analysis to support strategic planning as applicable
Support investment oversight of surplus funds within approved guidelines, balancing liquidity, risk, and return objectives, in collaboration with ALM and subsidiary finance teams
Requirements
Chartered Professional Accountant (CPA) designation or equivalent required
Minimum of 10 years of experience in finance or accounting, with at least 5 years in a leadership capacity
Demonstrated experience in budgeting, forecasting, and financial analysis
Strong understanding of liquidity planning, cash flow forecasting, and investment oversight
Knowledge of regulatory capital frameworks and risk reporting requirements
Ability to present complex insights to senior leadership in a clear, actionable manner
Leadership skills with the ability to influence cross-functional multi-location teams
Experience with treasury technology platforms is considered an asset
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