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VP, Cash Management – Forecasting Operations
Reinsurance Group of America, IncorporatedVP overseeing Cash Management & Forecasting Operations for RGA, a leading global reinsurance company. Leading operational performance and strategic direction for investment liquidity management.
Posted 5/30/2026full-timeRemote • Kansas, Kentucky, Louisiana, Massachusetts, Montana • 🇺🇸 United StatesLead💰 $180,220 - $268,400 per yearWebsite
About the role
Key responsibilities & impact- Set the strategic direction and oversee day‑to‑day operational performance of Cash Management and Forecasting
- Establish and maintain enterprise standards and performance metrics
- Own production of forward‑looking operational cash forecasts
- Oversee coordination with Treasury, Portfolio Management, and Investment Accounting
- Ensure non‑investment cash drivers are fully incorporated into liquidity reporting
Requirements
What you’ll need- Bachelor's degree required; Finance, Accounting, Economics, or related field
- 15+ years of progressive investment operations or treasury experience with deep specialization in investment cash management, liquidity forecasting, or cash reconciliation
- 7+ years of people leadership experience
- Proven track record partnering with Treasury, Portfolio Management, and Investment Accounting on liquidity planning
Benefits
Comp & perks- Health insurance
- Retirement plans
- Annual bonus plan
- Long-term equity incentive plan
ATS Keywords
✓ Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
cash managementliquidity forecastingcash reconciliationoperational performance metricsfinancial forecasting
Soft Skills
people leadershipstrategic directioncollaborationcommunication