Financial Analyst -treasury/corporate Fp&a - Hybrid

Cigna

Philadelphia, PA, US
3d onsite
Bachelor's degree in finance or related field
3+ years experience in corporate treasury or fp&a
Advanced microsoft excel and powerpoint skills
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, maintain financial models, and produce reports for management.
  • The position supports capital market transactions and manages 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

  • Bachelor's degree in Finance or related field
  • 3+ years experience in Corporate Treasury or FP&A
  • Advanced Microsoft Excel and PowerPoint skills
  • GAAP financial statement understanding
  • Experience with Hyperion Essbase/Smartview

Nice-to-have

  • Strong cross-functional relationship building
  • Solutions-based mindset with attention to detail
  • Ability to prioritize and manage time effectively
  • Excellent oral and written communication skills
  • Self-starter who takes ownership of initiatives

Key Requirements

  • Bachelor's degree required
  • 3+ years of relevant finance experience
  • Proficiency in financial modeling and reporting
  • Location in Philadelphia, PA (Hybrid)

Work Rights

Not specified

Tailored Resume

Cover Letter