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Director, Treasury

Job in Hartford, Hartford County, Connecticut, 06112, USA
Listing for: Talcott Financial Group
Full Time position
Listed on 2026-07-11
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Analyst, VP/Director of Finance
Salary/Wage Range or Industry Benchmark: 150000 - 230000 USD Yearly USD 150000.00 230000.00 YEAR
Job Description & How to Apply Below

Job Description

Posted Monday, June 29, 2026 at 4:00 AM

Talcott Financial Group is an international life insurance group and the industry’s trusted partner for comprehensive risk solutions. Talcott creatively designs and expertly delivers responsive solutions that transfer risk and manage capital in a way that supports the strategic needs of insurers today and into the future.

Talcott Financial Group has a proven track record of well-executed transactions, and the enterprise benefits from its strong financial position with over $127 billion in assets under management, its investment-grade financial strength ratings, and its partnership with Sixth Street, a leading global investment firm.

Talcott Financial Group’s two core business platforms include: U.S. based Talcott Resolution and Bermuda and Cayman based Talcott Re.

Position Summary

The Director, Treasury is a strategic finance leader responsible for optimizing the organization's liquidity, capital resources, funding strategies, banking relationships, and treasury risk management activities. This role partners closely with Finance, Investments, Risk Management, Actuarial, Corporate Development, and Executive Leadership to ensure efficient deployment of capital, effective liquidity management, and alignment of treasury strategies with the company's long-term financial objectives.

The Director serves as a subject matter expert in treasury operations and enterprise funding strategies while providing leadership over cash forecasting, capital planning, debt management, banking operations, collateral management, and treasury technology initiatives.

This position requires strong analytical capabilities, strategic thinking, and the ability to influence senior stakeholders across the organization.

Key Responsibilities

Treasury Strategy & Capital Management

  • Develop and execute enterprise treasury strategies that support business growth, capital efficiency, and shareholder value creation.
  • Lead short- and long-term liquidity planning, ensuring sufficient funding capacity across all operating entities.
  • Partner with executive leadership on capital allocation decisions, funding alternatives, and balance sheet optimization.
  • Evaluate and recommend financing structures, debt issuances, credit facilities, and capital market transactions.
  • Support strategic initiatives, acquisitions, divestitures, and corporate transactions from a treasury perspective.
  • Manage relationships with banking partners, custodians, trustees, and other financial institutions.
  • Negotiate banking agreements, service arrangements, credit facilities, and treasury-related contracts.
  • Evaluate banking performance, pricing structures, and service levels.
  • Lead periodic treasury service provider reviews and vendor governance activities.

Capital Markets & Funding

  • Support debt management activities including issuances, refinancing, covenant monitoring, and reporting.
  • Analyze funding alternatives and capital market opportunities.
  • Monitor interest rate environments and recommend appropriate funding strategies.
  • Evaluate financial risks associated with financing activities and recommend mitigation approaches.

Treasury Risk Management

  • Identify, assess, and manage treasury-related risks including liquidity, interest rate, counter party, and operational risks.
  • Collaborate with Risk Management and Compliance teams to ensure adherence to governance frameworks.
  • Develop policies, controls, and procedures supporting treasury activities.
  • Monitor regulatory developments impacting treasury operations and funding strategies.

Financial Planning & Analysis Partnership

  • Partner with FP&A, Accounting, Actuarial, and Investment teams on financial projections and capital planning.
  • Provide treasury insights to support enterprise forecasting and strategic planning.
  • Prepare materials for executive leadership, Board committees, rating agencies, auditors, and regulators.
  • Deliver actionable analyses and recommendations regarding capital deployment and liquidity optimization.

Qualifications

Education

  • Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related discipline required.
  • MBA, CFA, CPA, CTP, or equivalent advanced credential…
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