At HCSC, we consider our employees the cornerstone of our business and the foundation to our success. We enable employees to craft their career with curated development plans that set their learning path to a rewarding and fulfilling career.
Come join us and be part of a purpose driven company who is invested in your future!
Job Summary
BASIC FUNCTION
This position is responsible for creating and maintaining capital and cash flow analyses designed to assess, forecast and model various business scenarios. Conducts and documents treasury forecasting analysis, data gathering and manipulation, summarization, and analysis of reports, dashboards, cash throughput activity, trends, and opportunities. Works with various levels of management within treasury and the business units to develop, interpret and implement treasury forecasting concepts or techniques related to strategic planning and forecasting. Additionally, this position will support Corporate and Treasury capital and cash flow planning, budgeting and forecasting processes, as well as preparing ongoing monthly, quarterly and annual management reporting and analysis. This position also assists, and may sometimes lead, assessments, development and improvement of modeling practices that support capital and cash flow scenario planning, stress testing, and "business as usual" activities.
NOTE: relocation is not offered for this role, sponsorship is not available ~ this role is hybrid/flex requiring in-office visibility three days per week.
Required Job Qualifications:
Bachelor Degree in Finance, Accounting, or Business Administration.7 years experience in financial services, banking or insurance accounting and financial management.3 years in a 'lead' capacity.Knowledge of treasury operations, Investments, and GAAP / Statutory Accounting theory. Verbal and written communications skills including establishing working relationships across departments, preparing presentations to sr. mgmt., and establishing team environment.Negotiations skills.Travel within assigned areas of responsibility, including overnight stays.Analytical skills, detail oriented, effective interpersonal and organizational skills. Proficient in Microsoft Office product suite and advanced Visio flow charting experience.
Preferred Job Qualifications:
Professional financial certification/designation, such as CPA, CFA, or MBA. Financial statement compilation or analysis experience.Full cycle project management experience.
NOTE: relocation is not offered for this role, sponsorship is not available ~ this role is hybrid/flex requiring in-office visibility three days per week.
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HCSC Employment Statement:
HCSC is committed to diversity in the workplace and to providing equal opportunity and affirmative action to employees and applicants. We are an Equal Opportunity Employment / Affirmative Action employer dedicated to workforce diversity and a drug-free and smoke-free workplace. Drug screening and background investigation are required, as allowed by law. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or protected veteran status.