Senior Financial Analyst, Treasury - Corporate Finance- Hybrid

TheCignaGroup LLC

Philadelphia, PA, US
3d onsite
Long-term capital planning process maintenance
Cash forecasting financial modeling
Debt and share repurchase payment processing
The role is responsible for maintaining the enterprise long-term capital planning process and long-term cash forecasting process

Job Summary

  • The role is responsible for maintaining the enterprise long-term capital planning process and long-term cash forecasting process.
  • Candidates will work with various business partners to collect data, produce management reports, and complete variance analysis.
  • The position supports capital market transactions and requires managing daily operations for share repurchase and trade finance programs.

Matching Summary

The role is responsible for maintaining the enterprise long-term capital planning process and long-term cash forecasting process.

Skills & Requirements

Must-have

  • Long-term capital planning process maintenance
  • Cash forecasting financial modeling
  • Debt and share repurchase payment processing
  • Advanced Microsoft Excel proficiency
  • GAAP financial statement understanding

Nice-to-have

  • Hyperion Essbase or Smartview experience
  • Strong cross-functional relationship building
  • Solutions-based mindset with attention to detail
  • Effective time management and prioritization
  • Capital markets transaction support experience

Key Requirements

  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • 3+ years of experience in Finance, Corporate Treasury, FP&A, or similar functions
  • Location in Philadelphia, PA with hybrid work arrangement

Work Rights

Not specified

Tailored Resume

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