- Permanent/Regular or Fixed Term Contract/Temporary: Permanent (UK and ROW) / Regular (US)
- L&G Business Unit: Legal & General Group Functions
- L&G sub Business Unit: GROUP FINANCE
- Primary Location: London, One Coleman Street
- Job Family: Finance
Job Description
We’re looking for a Head of Liquidity Planning and Analysis to join our Group Treasury function.
As Head of Liquidity Planning and Analysis you will have the rare opportunity to build and embed a Group-wide framework that improves how liquidity is forecast, understood and managed across the business. You will also take on longer term responsibility for the ongoing operating model that is used.
You will leverage your expertise to support an evolving liquidity and cash position by combining strong technical judgement with practical delivery, stakeholder influence and team leadership.
This is a hybrid working opportunity which will allow you to work flexibly between your home and our London Office, so that you can find a work-life balance that works for you.
Key Responsibilities
- Leading the design and implementation of a Group-wide liquidity planning and analysis framework
- Embedding a new cash metric across the organisation and driving consistent use across divisions
- Designing forecasting models, planning processes and governance controls that can move into BAU
- Improving Group-level cash visibility and strengthening liquidity reporting and analysis
- Challenging assumptions, interpreting performance and turning numbers into practical business insight
- Working with senior stakeholders across Group Treasury and the wider business to build buy‑in and capability
- Supporting liquidity optimisation and helping ensure funding is allocated efficiently while internal and regulatory needs are met
- Leading and developing a small team while shaping a scalable long‑term operating model
Key Qualifications
- Qualification as an actuary or accountant would be beneficial, but we are open to other backgrounds where relevant experience has been gained
- Demonstrable experience in liquidity or a closely related finance, FP&A, risk or actuarial role
- Strong understanding of cash flow forecasting, reporting dynamics and balance sheet drivers
- Experience building frameworks, models, processes or controls in a changing environment
- Strong spreadsheet and modelling skills, with the ability to work hands‑on and not just at a conceptual level
- A track record of working with and influencing senior stakeholders across multiple teams
- The judgement to challenge assumptions and explain the story behind the numbers clearly
- Knowledge of Solvency II, treasury instruments and insurance liquidity drivers
Benefits
- The opportunity to participate in our annual, performance-related bonus plan and valuable share schemes
- Life assurance
- Competitive family leave
- Participate in our electric car scheme, which offers employees the option to hire a brand-new electric car through tax efficient salary sacrifice
- Discounts on our own products and at a range of high‑street stores and online
- Net‑zero carbon workplaces by 2030 by investing in our sustainable, modern offices across the UK, all designed to bring people together and elevate the in‑person experience
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