Treasury Consultant - Eden Prairie, MN

UnitedHealth GroupEden Prairie, MN
1d

About The Position

UnitedHealth Group is a health care and well-being company that’s dedicated to improving the health outcomes of millions around the world. We are comprised of two distinct and complementary businesses, UnitedHealthcare and Optum, working to build a better health system for all. Here, your contributions matter as they will help transform health care for years to come. Make an impact with a team that shares your passion for helping others. Join us to start Caring. Connecting. Growing together. This position is responsible for assisting in the management of all internal audit and risk management consulting activity within designated specialty areas for the company. Responsible for leading the performance of the financial and business process audits and special projects to assess the existence, effectiveness and efficiency of the business controls, financial information, and compliance with laws and regulations. You’ll be rewarded and recognized for your performance in an environment that will challenge you and give you clear direction on what it takes to succeed in your role as well as provide development for other roles you may be interested in.

Requirements

  • Undergraduate degree in Finance, Accounting, Economics or Related Field
  • 3+ years Minimum of Treasury, Accounting and/or Finance experience
  • Exceptional attention to detail and organizational skills
  • Values teamwork and team contributions above self-interests
  • Superior analytical and problem-solving skills with the proven ability to resolve complex situations under adverse conditions within short deadlines
  • Highly self-motivated and career-oriented professional
  • Solid oral and written communication skills

Nice To Haves

  • Intermediate Microsoft Office knowledge
  • Previous treasury experience

Responsibilities

  • Execute/Approve funds transfers for business areas
  • Process daily cash transfers via Treasury Workstation
  • Compete upload of all SCA bank accounts balances and transactions into our Treasury Workstation
  • Monitor cash balances across SCA bank accounts and remediate as needed
  • Preform comprehensive short and long term cash flow forecasts to determine operational liquidity needs at entity level
  • Work with Investment Management to identify excess/deficit cash positions along with implementation of solutions
  • Identify, propose and implement areas for improvement within the existing Cash Management functions
  • Assist with Cash Management audit requests
  • Assesses and satisfies reporting requests from internal and external constituents
  • Work with business areas, and states, along with Investment Management to meet restricted deposit requirements
  • Complete monthly metrics and management reports
  • Assist with integration of newly acquired entities into the standard Cash Management processes and procedures
  • Complete daily SCA Accounting entries for SCA corporate accounts
  • Complete month end responsibilities for SCA close

Benefits

  • a comprehensive benefits package
  • incentive and recognition programs
  • equity stock purchase
  • 401k contribution

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Number of Employees

5,001-10,000 employees

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