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Treasury Analyst

HealthPartners

Bloomington, MNFull-time$11.41/hrTracked 1w agoSeen in employer's feed 4 days ago

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At a glance

Compensation
$11.41/hr
Location
Bloomington, MN
Schedule
Full-time
Work Authorization
Not specified

Requirements

Credentials this posting asks for.

Bachelor's degree

Job overview

HealthPartners is hiring a Treasury Analyst. HealthPartners is hiring a Treasury Analyst to support treasury functions, including cash management, banking relationships, systems, and reporting, providing analytical support and operational execution for liquidity management, financial risk oversight, and decision support across the organization.

Key focus areas include Support daily cash management activities, including cash positioning, balance reporting, and analysis of cash flows., Maintain and enhance cash management systems related to collections, disbursements, and reporting., and Assist with reconciliation of miscellaneous debits and credits and investigate variances..

Important skills include Excel and Effective Communication Skills. Preferred (not required): Cash Reporting Platforms, Investment Accounting, Debt Administration, and Financial Risk Management Concepts.

Skills & qualifications

RequiredNice to have

Skills

ExcelCash Reporting PlatformsInvestment AccountingDebt AdministrationFinancial Risk Management ConceptsEffective Communication Skills

Qualifications

Bachelor's Degree in Finance, Accounting, Business or Related Field or Equivalent Finance/Banking Experience1-3 Years Experience in Corporate Treasury, Cash Management, Banking or Related Finance Roles

Full job description

Job Duties

HealthPartners is hiring a Treasury Analyst. The Treasury Analyst is responsible for supporting the organization's treasury functions, including cash management, banking relationships, treasury-related systems and reporting. The role provides analytical support and operational execution to ensure effective liquidity management, financial risk oversight, and decision support across the organization.

MINIMUM QUALIFICATIONS:

Education, Experience or Equivalent Combination:

Bachelor's degree in Finance, Accounting, Business, or a related field or equivalent finance/banking experience.

Minimum of 1-3 years of experience in corporate treasury, cash management, banking, or related finance roles.

Knowledge, Skills, and Abilities:

Strong working knowledge of Microsoft Excel and other PC-based financial systems.

Ability to work effectively with multiple levels of management and across departments.

Effective communication skills, written and oral.

PREFERRED QUALIFICATIONS:

Knowledge, Skills, and Abilities:

Experience with cash reporting platforms.

Knowledge of investment accounting, debt administration, or financial risk management concepts.

ESSENTIAL DUTIES: (Includes duties that represent 10% or more of the role's time and focus)

  1. (60%) - Cash & Liquidity Management

Support daily cash management activities, including cash positioning, balance reporting, and analysis of cash flows.

Maintain and enhance cash management systems related to collections, disbursements, and reporting.

Assist with reconciliation of miscellaneous debits and credits and investigate variances.

Process automated payments.

Support Cash Operations team, as needed.

  1. (10%) - Banking & Treasury Relationships

Assist in maintaining relationships with banks and other treasury service providers.

Support bank account administration, account analysis review, and banking research as needed

  1. (10%) - Debt & Investment Support

Assist with Debt issuance, compliance and reporting.

Maintain moderately complex investment databases.

  1. (10%) - Systems, Controls & Compliance

Develop, enhance, and maintain treasury-related reporting tools and systems.

Coordinate and monitor credit card processing activities and support enterprise payment collection processes.

Assist with compliance with National Automated Clearing House Association requirements.

Participate in Treasury business continuity planning and operational readiness efforts.

  1. (10%) - Analysis & Special Projects

Provide research and analysis to support treasury-related financial decisions.

Collaborate effectively with finance, real estate, and operational teams on cross-functional initiatives.

Participate in special projects as directed by Treasury leadership.

Manage team to provide work direction, training, cross-training, development and support.

We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity, status as a veteran, and basis of disability or any other federal, state or local protected class.

Minimum Education Required

Bachelor Degree

Minimum Experience Required

1 - 3 years

Shift

First (Day)

Number of Openings

1

Public Transportation Accessible

Yes

Veterans Encouraged to Apply

No

Physical Required

Yes

Drug Test Required

Yes

Compensation

$11.41 / Hourly

Postal Code

55420

Job Type

Full Time

Place of Work

On-site

Requisition ID

122255

Job Benefits

Not specified

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