Offer summary
Qualifications:
Bachelor's degree in Accounting, Finance or related field; 8 years of Treasury-related experience; 5 years of leadership experience; Legal authorization to work in the United States, Superior communication and critical thinking skills; Ability to develop external and internal business partnerships; Strategic leadership capabilities; Strong analytical and financial skills; Proficiency with MS Excel, Word, Access and PowerPoint.
Key responsabilities:
- Develop and manage cash flow forecasts and analysis; Oversee regulatory requirements for claim payments; Manage investment portfolio selection and debt administration; Establish strategic partnerships with external banking and investment partners; Implement process improvements in the Treasury department