Senior Treasury Analyst

FMNE Insurance CompanyLincoln, NE
5hHybrid

About The Position

This position is responsible for supporting the management of the Company’s liquidity, cash flow and financial risk. This position supports treasury operations, ensures compliance with internal policies and external regulations, and provides analysis to optimize the company’s capital structure and funding strategies. Key areas of responsibility include cash management, financial analysis, banking & investment support, payment oversight, risk & compliance, process improvement and stakeholder collaboration.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics or related field.
  • 2-4 years of experience in treasury, corporate finance or banking.
  • Strong analytical and quantitative skills.
  • Proficiency in Excel, treasury management systems and ERP platforms (ex: WorkDay). Advanced Excel skills preferred.
  • Knowledge of financial instruments, capital markets and risk management practices.
  • Excellent verbal and written communication skills.
  • Detail-oriented with strong organizational skills.
  • Ability to work both independently and collaboratively in a fast-paced environment.
  • Strategic thinker with a proactive approach to problem-solving.

Nice To Haves

  • Preferred Certifications: Certified Treasury Professional (CTP) designation, Accredited ACH Professional (AAP) or NACHA certification.

Responsibilities

  • Demonstrates the Company’s mission, while successfully performing its core values related to integrity, service, excellence, stability, strength, respect, and teamwork.
  • Cash Management: Monitor daily cash positions and forecast short-term liquidity needs. Manage bank accounts, transfers and reconciliations. Support initiatives to optimize working capital.
  • Financial Analysis: Prepare financial analysis reporting on cash flow, debt and investment performance, as needed. Analyze treasury metrics to identify trends and risks. Assist in evaluating financing options and capital markets activity.
  • Banking & Investments: Support relationships with banking partners and financial institutions. Support investment of excess cash in line with company policy in partnership with Investments team. Assist with debt issuance, repayment, and compliance reporting.
  • Payment Oversight: Manage execution and reconciliation of payments, ensuring accuracy, timeliness and compliance with internal policies and external regulations. Implement controls to prevent fraud and strengthen payment security. Collaborate with Accounting team and other departments to streamline payment processes.
  • Risk & Compliance: Monitor exposure to interest rate, currency and credit risks, as applicable. Ensure compliance with treasury policies and regulatory requirements. Support internal and external audits related to treasury activities.
  • Process Improvement: Identify and implement opportunities for automation, risk reduction, and process optimization within treasury operations.
  • Stakeholder Collaboration: Partner with internal departments, including Investments, Accounting, Claims and IT to support enterprise initiatives involving cash management and financial systems.
  • Regular and prompt attendance in the office is an essential function of the position.

Benefits

  • competitive salary
  • excellent benefits package
  • health insurance
  • generous 401K
  • employee wellness program
  • hybrid work-from-home policy for eligible employees
  • pension plan
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