Treasury Analyst

Posted:
8/6/2024, 5:00:00 PM

Location(s):
Arizona, United States

Experience Level(s):
Junior ⋅ Mid Level

Field(s):
Finance & Banking

Workplace Type:
Remote

Primary City/State:

Arizona, Arizona

Department Name:

Treasury Mgmt

Work Shift:

Day

Job Category:

Finance

Great careers are built at Banner Health. We understand that talented professionals appreciate having options. We are proud to offer our team members many career and lifestyle choices including remote work options. Apply today, this could be the perfect opportunity for you.

The Treasury Analyst Cash Management responsibilities include: managing operations bank and acquiring bank relationships, acting as a liaison and strategic partner between bank and internal business partners, managing high inflow of Treasury-related questions, inquiries, and requests from internal business partners, analyzing, recommending, and implementing banking products and services, supporting M&A activity and Banner initiatives, managing daily operations cash liquidity, maximizing return on cash using short-term investment instruments, implementing and enforcing internal Cash Handling Policy to safeguard cash, developing and supporting working capital strategies, and minimizing financial fraud risk across the enterprise.

Systems frequently used: Kyriba Treasury Management System, Bank of America CashPro, Lawson, Microsoft Office Suite: Word, Excel, PowerPoint, Outlook, OneNote, SharePoint, OneDrive

Schedule: 8AM – 5PM Pacific Time

This can be a remote position if you live in the following states only: AK, AZ, AR, CA, CO, GA, FL, IA, ID, IN, KS, KY, LA, MD, MI, MO, MN, MS, NH, NM, NY, NC, ND, NE, NV, OH, OK, OR, PA, SC, TN, TX, UT, VA, WI, WV, WA, & WY 

Within Banner Health Corporate, you will have the opportunity to apply your unique experience and expertise in support of a nationally-recognized healthcare leader. We offer stimulating and rewarding careers in a wide array of disciplines. Whether your background is in Human Resources, Finance, Information Technology, Legal, Managed Care Programs or Public Relations, you'll find many options for contributing to our award-winning patient care.

POSITION SUMMARY
This position supports the Treasury Department in the oversight and management of financial forecasting, data analytics, customer service and maintenance of accounts related to investments, debt, cash management, and merchant card services.

CORE FUNCTIONS
1. Implements and maintains the processes and controls to manage system-wide cash and to assist in implementing and maintaining investments, debt, armored car and merchant card programs of the company. This includes developing and maintaining databases for reconciling, recording and reporting information to management and the Board.

2. Assists with investment management functions, including rebalancing multi-billion-dollar investment portfolios, assists in advising the board on recommendations on hiring and termination of the portfolio’s investment managers, and managing the cost associated with investment managers and financial consultants.

3. Assists with operational oversight for the corporate cash, investment, debt, armored car and merchant processing programs. This includes assisting with controlling and maintaining all banking, investment and debt systems, and accounts, and maintenance of all cash, investment, debt, armored car and merchant processing relationships. Assists with continuously evaluating and improving the development, analysis and preparation of information for the cash, investment, debt and other functions.

4. Analyzes system-wide cash on a daily basis to ensure adequate liquidity availability, determine and coordinate the investment of surplus cash according to investment policy. Creates and analyzes cash forecasting for multiple Banner-affiliated companies and senior leadership.

5. Develops and prepares timely reports for management, maintain the on-line systems for the cash, investment, debt, armored car and merchant processing programs. Interface, as appropriate, with bankers, advisors, trustees, custodians and managers to ensure accuracy and timeliness of information.

6. Provides analysis and recommendations for the treasury function through research, industry intelligence, scenario modeling and risk analysis.

7. Assists with maintaining and supporting all tax-exempt and taxable multi-billion-dollar debt programs, including bonds, lines of credit, letters of credit, commercial paper, direct purchase, etc. Assist with maintaining a billion-dollar swap program including collateral posting and mark-to-market calculations.

8. Responsibilities are system-wide. This position provides analytical support for numerous financial initiatives. Works with minimal supervision. Internal customers include all levels of management. External customers include to bankers, advisers, trustees, custodians and investment managers to ensure accuracy and timeliness of information.

MINIMUM QUALIFICATIONS


Knowledge, skills and abilities as normally obtained through the completion of a high school diploma, Associate’s or Bachelor’s degree, CTP or equivalent combination of education and experience in Finance or related field.

Requires a proficiency level typically achieved in three years.

IN-depth knowledge of financial analysis principles and Microsoft products are necessary. Organizational and communication skills are required.

PREFERRED QUALIFICATIONS


CTP preferred. One-year experience with Treasury Workstations, preferred. Knowledge of treasury functions is preferred. Analytical skills with spreadsheet and banking systems are preferred.

Additional related education and/or experience preferred.

EEO Statement:

EEO/Female/Minority/Disability/Veterans

Our organization supports a drug-free work environment.

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