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勤務地
  • Posting Location: 東京都、日本

都市
東京都
従業員カテゴリー
フルタイム 正社員
就労形態
ハイブリッド(在宅勤務)
出張頻度
10%
転勤可能性
はい
掲載日
03-3月-2026
ジョブID
16014

概要と必要条件

Responsibilities:

The Head of Cash Management and Banking Team is accountable for the effective management of liquidity, cash operations, and banking relationships for the life insurance entity. The role ensures strong liquidity governance, regulatory compliance, and efficient deployment of cash resources, while supporting enterprise financial stability and strategic objectives.


1. Liquidity & Cash Flow Management

  • Oversee daily liquidity operations to ensure timely settlement of claims, policyholder obligations, investments, and operating expenses. Maintain appropriate liquidity buffers in accordance with regulatory requirements and internal risk appetite.  
  • Optimize returns on working capital across currencies within approved risk parameters.

2. Cash Flow Forecasting & Planning

  • Lead short-term and long-term cash flow forecasting. Monitor liquidity trends and risks and provide recommendations to senior management.

3. Banking & Financial Institution Relationship Management

  • Manage relationships with domestic and international banking partners. Oversee bank account structures, mandates, and fee management.

4. Treasury Operations and Investments

  • Oversee deployment of surplus liquidity into short-term investments in coordination with Investment teams. 

5. Governance and Compliance

  • Ensure compliance with internal policies, regulatory requirements, and internal control frameworks, including SOX. 

6. Payments and Collections 

  • Oversee premium collections, claims payments, vendor payments, and intercompany settlements. 

7. Systems and Process Improvement

  • Provide oversight for treasury management systems and drive automation initiatives. 

9. Reporting and Communication

  • Deliver accurate liquidity reporting to senior management and regulators 

10. People Leadership

  • Lead and develop the Cash Management team and collaborate across Finance, Investments, Risk, and Operations. 


Experience:

  • 10–15 years of progressive experience in treasury or finance roles within a life insurance company or major financial institution 

Skills:

  • Strong capabilities in risk assessment, liquidity analysis, and financial forecasting, relevant to cash adequacy evaluation. 
  • Strong stakeholder management skills with ability to influence at executive and cross‑functional levels. 
  • Excellent communication skills—able to simplify complex financial matters for non‑technical stakeholders. 
  • Strong project management capability, with experience optimizing processes and leading change initiatives. 
  • High degree of commercial literacy and strategic thinking, with ability to link capital strategy to enterprise value. 

 

Preferable: 

  • Experience within global financial institutions or life insurers is strongly preferred. Strong technical experience in insurance, including understanding of capital regimes, regulatory frameworks, and financial reporting (e.g., ESR/SMR, economic capital, statutory accounting) is highly valued. 
  • Ability to navigate regulatory environments and capital rules across jurisdictions (helpful in multinational groups).

 

Qualifications:

  • Bachelor’s or Master’s degree in Finance, Economics, Accounting, or related quantitative disciplines. 

 

Language:

  • Business-level proficiency in Japanese and English.
福利厚生

メットライフ生命では、ワークライフバランスと社員の心身の健康を促進する福利厚生を提供しています。社員はフレックスタイム制度、年次有給休暇、特別連続休暇、リフレッシュ休暇等の休暇を利用できます。また、社会保険や団体保険の他、旅行や英会話教室で使える割引も提供しています。柔軟に働けるよう、オフィス勤務と在宅勤務を組み合わせた勤務形態の導入や、短時間勤務制度、また柔軟性のあるドレスコードなども設けています。

メットライフについて

メットライフは、グローバルで展開する金融サービス企業です。個人および法人のお客さまがより確かな未来を築けるよう、保険、年金、社員福利厚生給付、資産管理のサポートを提供しています。1868年に創業したメットライフは、世界40以上の市場で事業を展開し、米国、アジア、中南米、ヨーロッパ、中東において業界をリードしています。
 
メットライフ生命は、日本初の外資系生命保険会社として、1973年2月に国内での営業を開始しました。当社のPurpose「ともに歩んでゆく。よりたしかな未来に向けて。」は、メットライフが誇るグローバルネットワークと世界中のベストプラクティスを活かし、お客さまのニーズに応え、地域社会との信頼関係を築くという信念を表しています