Treasury Analyst
- Employer
- Brighthouse Financial
- Location
- Charlotte, North Carolina
- Salary
- Not Specified
- Closing date
- Jul 13, 2019
View more
- Category
- Financial Services
- Job Type
- Not Specified
- Career Level
- Not Specified
Job Details
Brighthouse Financial is on a mission to help people achieve financial security. As one of the largest providers of annuities and life insurance in the U.S., we specialize in products designed to help people protect what theyve earned and ensure it lasts. We are built on a foundation of experience and knowledge, which allows us to keep our promises and provide the value they deserve.
At Brighthouse Financial, were fostering a culture where diverse backgrounds and experiences are celebrated, and different ideas are heard and respected. We believe that by creating an inclusive workplace, were better able to attract and retain our talent, provide valuable solutions that meet the needs of our advisors and their clients, and deliver on our mission of helping more people achieve financial security. Were seeking passionate, high-performing team member to join us. Sound like you? Read on.
How This Role Contributes to Brighthouse Financial:
This role reports directly to the Director of Cash Management and is responsible for assisting with all aspects of cash management at Brighthouse Financial (BHF). Through effective cash management and analysis, this role will assist the team and the enterprise in making sound cash management and short-term investment decisions. As a cash management subject matter expert, this role will also provide support and be a source of sound cash management knowledge and guidance.
Key Responsibilities:
- Identify and report changes in cash or cash trend data
- Perform daily cash positioning activities, including developing daily cash position, managing daily liquidity, performing prior-day cash position reconciliation, and monitoring bank reporting
- Consolidate and manage short-term cash flow forecast, including forecast vs. actual cash flow variance analysis
- Identify short-term funding requirements and surplus cash available for investments
- Support automated processes in Treasury Management System (Kyriba)
- Perform portfolio allocation activities, including communication of the forecasts to internal stakeholders
- Provide cash management expertise to business areas to identify and implement opportunities for improved cash flow forecasts to drive optimal investment of the companys cash
Essential Business Experience and Technical Skills:
- 3+ years of Cash Management experience in a public or private company environment
- 1-2 years experience in Insurance or Financial Services preferred
- Strong Knowledge of cash management principles, tools, and techniques
- Undergraduate degree in accounting, finance or related field; CTP desired
- Experience using, implementing or maintain a Treasury Workstation preferred
- Strong computer skills with experience using MS Excel modeling and MS PowerPoint
Company
Why Brighthouse Financial
We’re on a mission to help people create a better financial future. Drawing on our history as part of MetLife, Inc., we will help our customers achieve financial security. Our experience has taught us that it’s time for something new: a simple and transparent alternative to an industry that customers often feel is complex, confusing, and costly.
Benefits
Brighthouse Savings Plan
Achieve your long-term financial goals by combining your contributions with the company match and annual profit sharing contribution
Healthcare Gain
Peace of mind and care for you and your family by participating in our medical/pharmacy, dental and vision plans.
Income Protection
Protect your loved ones and prepare for the unexpected with company provided life and disability programs.
Work Life Balance
Live a fuller life and take time to recharge with our competitive offering of holidays, paid time off, parental leave, and much more.
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