A leading national liability insurer has a great opportunity for a Senior Treasury Analyst to join their corporate Finance Department. This is a hybrid role (in office/remote) that is the Cash Management subject matter expert and will work closely with Claims, Underwriting, A/R, etc. The Senior Treasury Analyst will be responsible for cash forecasting and recording to general ledger; analyze cash flows, expenses and fees; maximize process efficiencies; act as Treasury liaison in Finance; review and execute disbursements for Claims, Underwriting and Commissions; and more! Send your resume if you have a Bachelor’s degree in finance/accounting; 3+ years of related experience; Certified Treasury Professional designation is a plus; strong problem solving skills; and experience with accounting, disbursement and treasury systems (Workday).
Job Code: 16821
Please note that quoted salary ranges are not guarantees of what the final salary offers might be. Our clients base their offers on a range of variables including years of work and industry specific experience, salary history, education level, etc.