With the Corporate Treasury team, you will perform and support all Treasury related functions and activities. Key treasury functions include cash and liquidity management, cash forecasting and modeling, intercompany settlement, investment accounting and reporting, and the operation and optimization of Treasury technology. Calculate daily cash position of the Company, as well as rolling forecast. Perform required fundings and transfer excess funds, if any, to investment accounts and recommend durations of investments. Update all required receipt and disbursement spreadsheets. Prepare quarterly investment reports for board of directors and SEC filings. Explain variances and distribute to management. Follow up with the appropriate department for any potentially fraudulent checks. Prepare required monthly journal entries to account for all receipts and disbursements. Prepare quarterly and annual statutory Schedule Es to report required cash and cash equivalent activity and balances for each insurance subsidiary. Monitor bank analysis fees and identify opportunities for savings potential. Update bank fee expense spreadsheets. Prepare required monthly journal entries for assigned entities. Perform assigned account reconciliations on a monthly basis. Prepare financial analyses as required.
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Job Type
Full-time
Career Level
Entry Level
Industry
Insurance Carriers and Related Activities
Education Level
Bachelor's degree