RGP · 2 weeks ago
Senior Treasury Analyst - Forecasting
RGP is seeking a Senior Treasury Analyst to support a client in the Life Insurance industry, with a focus on Liquidity Forecasting and Strategy. This role involves developing forecasting models and providing strategic insights to ensure effective liquidity management.
Responsibilities
Develop and maintain comprehensive cash flow forecasting models
Analyze liquidity buffers and ensure timely funding availability
Monitor liquidity limits and provide management reporting on risks and compliance
Contribute to liquidity strategy and planning
Support balance sheet management and covenant compliance
Collaborate with Treasury Strategy & Consulting teams on strategic initiatives
Evaluate bank and vendor products to meet evolving business needs
Qualification
Required
Proven experience in Liquidity Forecasting and Treasury Strategy
Strong background in the Life Insurance industry
Advanced user of Kyriba for forecasting and analytics
Strong analytical, communication, and stakeholder management skills
Preferred
Experience with treasury transformation or strategic consulting projects is a plus
Benefits
Medical
Dental
Vision
Life insurance
Disability insurance
401(k) savings plan
Employee Stock Purchase plan
Professional development program
Paid Time Off
Paid Sick Time (in geographies where legally required)
Company
RGP
RGP (Nasdaq: RGP) is an award-winning global professional services firm with three decades of experience helping the world’s top organizations navigate change and seize opportunity.
Funding
Current Stage
Late StageTotal Funding
unknown2009-05-13Acquired
Leadership Team
Recent News
2024-04-05
2023-12-25
Company data provided by crunchbase