Develop and manage the enterprise-wide cash forecasting framework 5+ years of progressive experience in treasury, corporate finance, financial planning & analysis (FP&A), or financial systems roles. Strong understanding of cash forecasting, liquidity management, and capital planning. Demonstrated experience implementing or optimizing a Treasury Workstation System (TWS) — preferably GTreasury. Familiarity with ERP systems, especially Workday, including experience with system integration between TWS solution and ERP solution. Insurance or financial services industry experience strongly preferred. Excellent analytical and communication skills with the ability to translate data into strategic insights. Self-starter with the ability to manage multiple priorities and work cross-functionally. Advanced Excel modeling skills; strong command of data manipulation and scenario analysis. Hands-on experience with GTreasury, Workday, and treasury analytics/reporting platforms. Working knowledge of business intelligence tools (e.g., Power BI, Tableau) and data querying (e.g., SQL) a plus.
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