This position is responsible for providing business intelligence support for enterprise treasury; thought leadership to the identification and reporting of systematic enterprise performance imperatives such as cash flow positioning and analysis, cash management, and cash flow forecasting.
Treasury Experience is necessary.
This position is also responsible for the preparation of models, trend analyses of enterprise performance and implications for the purposes of presenting senior leaders and driving a deep understanding of the financial outcomes of treasury.
This position will also demonstrate a deep understanding of industry concepts, including an understanding of the Company's specific practices, procedures, systems, and applications.
Job Responsibilities:
Required Job Qualifications:
Bachelor's degree finance, accounting, or economics.
Minimum 7 years of experience in treasury or cash flow management, statistical analysis, financial analysis, financial consulting, or insurance industry economics.
Advanced PC proficiency to include Excel, Access or similar.
Proficiency in designing reports.
Excellent verbal and written communications skills to prepare effective documentation, facilitate training and development, and participate in presentations
Experience working cross-functionally within all levels of the organization, leading projects and in problem resolution.
Experience in developing, maintaining, and leveraging collaborative relationships with internal and external stakeholders and business leaders, to accept recommendations, cooperate or change their behavior, facilitating the accomplishment of business goals.