Drive initiatives to enhance returns on Group liquidity.
Support the review and continuous improvement of the Group liquidity strategy.
Develop and maintain high-quality reporting on liquidity returns.
Coordinate updates to Zurich Risk Policy (Liquidity Risk).
Deliver liquidity and capital management initiatives and act as a subject matter expert.
Requirements
7+ years of relevant experience in liquidity management within insurance or banking sector.
University degree in Economics, Finance, or a quantitative discipline.
CFA/CPA is a plus.
Strong expertise in liquidity investment products, structures, and hedging strategies.
Sound understanding of insurance business models and their implications for liquidity management.
Excellent analytical skills with the ability to interpret complex financial data and deliver actionable insights under tight deadlines.
Strong communication and stakeholder management skills, with a proven ability to influence decision-making and drive impactful outcomes in a dynamic environment.
Hands-on mindset and advanced proficiency in MS Office.