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Consultant – Treasury

Consultant – Treasury

CompanyNationwide
LocationColumbus, OH, USA
Salary$Not Provided – $Not Provided
TypeFull-Time
Degrees
Experience LevelSenior, Expert or higher

Requirements

  • Eight years financial experience including banking, financial analysis, planning or auditing.
  • Prefer at least three years project leadership, management or supervisor experience.
  • In-depth knowledge of financial analysis, financial statement and Corporate-wide business analysis.
  • In-depth knowledge of GAAP and SAP and insurance/financial services business requirements.
  • Project management concepts and techniques.

Responsibilities

  • Coordinates the implementation of Treasury Consulting projects.
  • Responsible for developing business uses cases and models to assist the Treasury Consulting team on providing recommendations to the business as it relates to innovation in banking and payments.
  • Supports the department in approvals for transactions.
  • Manages associates, including performance management, salary planning and administration, training and development, workflow and organization planning, day-to-day management, hiring and placement and disciplinary actions for direct and possibly indirect reports.
  • Writes business cases with Senior Consultant for systems or process changes related to cash management and liquidity.
  • Drives the cash and liquidity portions of business unit integration and divestiture efforts.
  • Facilitates account elimination and other bank service utilization reviews with the Cash Team and Banking Services, with attention to systems and workflow issues.
  • Performs dashboard development and maintenance for daily cash and liquidity status using relevant systems.
  • Builds and maintains forecasting and liquidity monitoring models as advised by Senior Consultant, including review of forecast inputs, query development, statistical reporting and cash threshold reports.
  • Builds needed data exports to external scorecards for Office of Investments, Enterprise Risk Management, and Controllership/Finance.
  • Performs periodic systems control reviews and support internal and external audit efforts.
  • Assists Senior Consultant and Associate Vice President in benchmarking cash and liquidity metrics to industry and general Treasury practice.
  • Engages Nationwide Technology units in Office of Investments, Nationwide Financial operations, Property & Casualty related to cash and liquidity initiatives.
  • Conduct training and education for cash systems and reporting users and outreach.
  • Serves as a subject matter authority and business lead on bank and internal system interfaces, driving necessary changes and upgrades as well as assisting the cash team with any issues and temporary workarounds.
  • Coordinates cash management and forecasting system troubleshooting with Technology and driving issue resolution.
  • Develops, coordinates and maintains business process and policy documentation for cash, forecasting and liquidity activities of cash management, including planning and systems continuity.

Preferred Qualifications

  • CTP preferred.
  • Other designations, such as PMP or CPA are a plus.
  • Prefer familiarity with debt management and banking practices.