Head of Capital & Treasury

Company: Brit Insurance
Apply for the Head of Capital & Treasury
Location: London
Job Description:

What you’ll be doing

In this role, you’ll take the lead in managing Brit’s Capital and Treasury functions, ensuring the Group and its entities are always well-capitalised and financially resilient.

You’ll work closely with colleagues across Finance, FP&A, and Risk & Capital Modelling, making sure business planning and capital requirements are seamlessly integrated into forecasts and projections. Your expertise will be vital in overseeing capital analysis for Boards, committees, and our parent company, delivering high-quality insights on time, every time.

You’ll be responsible for planning and executing intra-group reinsurance transactions, keeping a close eye on funding requirements and collateral management. Regulatory deadlines, whether for Lloyd’s or Bermuda, will be met with confidence, and you’ll play a key part in maintaining strong relationships with ratings agencies.

On the Treasury side, you’ll oversee all group activities, from funding and cash management to recommending and implementing changes to debt structures. Supported by the Group Treasury Manager, you’ll monitor liquidity at both entity and group level, ensuring compliance and effective operation of our Treasury Management System.

You’ll manage relationships with our banking and custody partners, chair the Investment & Treasury Operations Committee, and take responsibility for governance requirements.

Your remit will also include supporting the Credit Committee, monitoring Brit’s credit exposures, and collaborating with teams across Claims, Operations, and Legal. Throughout, you’ll act with integrity, diligence, and a commitment to delivering good outcomes for our customers.

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Posted: June 16th, 2026