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Vice President, Core Fixed Income & Cash Management Operations (open to remote)

External
rgare logoRgare · Chesterfield, MO, Rga Hq
Full-timeOn-site2w ago
ForecastingLeadershipRisk Management
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Responsibilities

  • Set the strategic direction and oversee day‑to‑day operational performance of Core Fixed Income Operations and Investment Cash Management, ensuring accurate settlement, liquidity visibility, and funding readiness across all fixed income activity.
  • Own end‑to‑end fixed income post‑trade operations, including trade confirmation, settlement, failed trade resolution, corporate actions, SSI maintenance, and security movement and transfer processing.
  • Own the production and governance of forward‑looking investment cash forecasts, integrating fixed income settlement activity, capital calls, distributions, coupons, corporate actions, and non‑investment cash drivers.
  • Establish and maintain enterprise operating standards, escalation frameworks, and performance metrics across settlement, corporate actions, cash forecasting, cash reconciliation, and liquidity planning.
  • Maintain senior accountability for settlement timeliness, failed trade management, and cash forecast accuracy, driving root‑cause analysis and remediation where performance or controls fall short.
  • Own the investment cash reconciliation framework, ensuring accurate and timely reconciliation of cash balances across custodians and internal systems with disciplined exception escalation.
  • Serve as the senior operational interface with Portfolio Management, Treasury, Investment Accounting, Reporting, and custodians on settlement status, liquidity needs, funding coordination, and data integrity matters.
  • Coordinate closely with Cash Management & Forecasting and Treasury to ensure fixed income settlement cash flows are accurately reflected in daily liquidity forecasts and funding plans.
  • Maintain a strong, audit‑ready control environment across fixed income operations and cash management workflows, partnering with Internal Controls and Finance on control design, testing, and issue remediation.
  • Lead, develop, and retain a high‑performing organization across fixed income operations and cash management, building deep technical bench strength, accountability, and a culture of continuous improvement.
  • Education and Experience
  • Required
  • Bachelor's degree required; Finance, Accounting, Economics, or related field.
  • 15+ years of progressive investment operations or treasury experience within an insurance company, asset manager, reinsurer, or large institutional investment organization.
  • Deep expertise in fixed income post‑trade operations (trade settlement, corporate actions, SSI management, failed trades, position integrity).
  • Demonstrated experience building and governing investment cash forecasting, liquidity planning, and reconciliation frameworks across multi‑asset class portfolios.
  • 7+ years of people leadership experience managing Directors, Executive Directors, or senior operational leaders
  • Preferred
  • CFA, CPA, or advanced degree
  • Skills and Abilities
  • Required
  • Technical & Functional Knowledge
  • Deep understanding of fixed income settlement workflows across custodians and counterparties, including DTC/Euroclear/Clearstream environments.
  • Strong knowledge of investment cash drivers such as settlements, capital calls, distributions, coupons, maturities, corporate actions, and non‑investment cash flows.
  • Proven experience integrating settlement activity with enterprise liquidity forecasting and Treasury funding processes.
  • Familiarity with investment operations and cash platforms (e.g., Aladdin or comparable OMS/PMS and treasury systems).
  • Strong command of operational risk management, exception handling, and audit‑facing control environments.
  • Leadership & Competencies
  • Strategic, operator‑led executive with the ability to run complex, high‑volume post‑trade and liquidity processes at scale.
  • Clear cross‑function

Benefits

Health insurance

Additional Information

You desire impactful work. You're RGA ready RGA is a purpose-driven organization working to solve today's challenges through innovation and collaboration. A Fortune 200 Company and listed among its World's Most Admired Companies , we're the only global reinsurance company to focus primarily on life- and health-related solutions. Join our multinational team of intelligent, motivated, and collaborative people, and help us make financial protection accessible to all. A Brief Overview The Vice President, Core Fixed Income & Cash Management Operations is the senior operational leader responsible for the end‑to‑end post‑trade execution and liquidity management of RGA's publicly traded fixed income portfolio. This role owns fixed income settlement, corporate actions, and post‑trade controls alongside investment cash forecasting, reconciliation, and liquidity planning, ensuring trade activity, cash movements, and funding requirements are aligned and executed with precision. The VP provides enterprise‑level visibility and governance over settlement performance and investment liquidity, partnering closely with Portfolio Management, Treasury, Investment Accounting, and custodians to support timely settlement, accurate cash positioning, and operational resilience


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