1+ months

Senior Treasury Analyst, Cash Management - Brighthouse Financial

Charlotte, NC
**Job Location:** United States : North Carolina : Charlotte

Brighthouse Financial is a new company established by MetLife. Were on a mission to help people achieve financial security. Built on a foundation of industry knowledge and experience, we specialize in offering essential annuity and life insurance products designed to help customers protect what theyve earned and ensure it lasts more predictably. In an industry that often has a reputation for complexity, confusion, and cost, Brighthouse Financial is different. Our approach includes simplicity, transparency, and more value so customers can face the future with confidence.

Brighthouse Financial is seeking passionate, high-performing team members to help us carry out our mission and be part of an exciting journey toward improving the financial futures of our millions of customers. Sound like you? Read on.

**Role Value Proposition:**

This role reports directly to the Director of Cash Management as a senior member of the Cash Management team and is a key support role in the oversight of daily cash, short term investment operations and the monitoring of cash balances. This position will be responsible for assisting in the successful management of treasury operations to consistently meet the financial obligations of the Company. As the primary contact for issue resolution, the candidate must be able to perform daily cash management functions, as well as execute forecasts, analyses, and projects independently while offering support and guidance to other members of the team. This role will work with the Director of Cash Management to implement and best practices in cash management and forecasting to support the Company's growth while maintaining internal controls within Brighthouse Financial (BHF).

**Key Responsibilities:**

This role is responsible for supporting the following cash management activities:

+ Perform daily cash positioning activities, including developing daily cash position, managing daily liquidity, performing prior-day cash position reconciliation, and monitoring bank reporting

+ Consolidate and manage short-term cash flow forecast, including forecast vs. actual cash flow variance analysis

+ Identify short-term funding requirements and surplus cash available for investments

+ Manage interday/intraday credit limits, cash balance bank compensation, and cash credit risk limits

+ Perform portfolio allocation activities, including communication of the forecasts to internal stakeholders

+ Perform management reporting activities, including analysis required to develop quarterly financial supplement

+ Support cash volatility studies in conjunction with Investments

+ Provide cash management expertise to business areas to identify and implement opportunities for improved cash management policies and practices ensuring optimal investment of the companys cash flows

+ Support audit activities

+ Support treasury initiatives

+ Performs other related duties as required **Essential Business Experience and Technical Skills:** **Required Qualifications**

+ 6+ years of related treasury or finance experience in the insurance or financial services industry.

+ In Depth Knowledge of cash management principles, tools, and techniques

+ Understanding of financial theory and applications

+ Understanding of the companys products, trading strategies, and market characteristics

+ Strong knowledge of commercial banking products, Fed clearing rules, and asset settlement procedures

+ Strong computer skills with experience using MS Excel modeling and MS PowerPoint

+ Analytical, interpersonal, communications, time management, and project management skills

+ Insurance industry experience preferred

Brighthouse Financial is a proud equal opportunity/affirmative action employer committed to attracting, retaining, and maximizing the performance of a diverse and inclusive workforce. It is Brighthouse Financial's policy to ensure equal employment opportunity without discrimination or harassment based on race, color, religion, sex (including pregnancy, childbirth, or related medical conditions), sexual orientation, gender identity or expression, age, disability, national origin, marital or domestic/civil partnership status, genetic information, citizenship status, uniformed service member or veteran status, or any other characteristic protected by law.

For immediate consideration, click the Apply Now button. You will be directed to complete an on-line profile. Upon completion, you will receive an automated confirmation email verifying you have successfully applied to the job.

Brighthouse Financial is committed to providing reasonable accommodations to qualified individuals with disabilities. If you require a reasonable accommodation in order to complete an employment application, please contact our Employee Relations Department at 1-866-635-9230 or email bhfemployeerelations@brighthousefinancial.com . All other unrelated inquires will not be acknowledged.



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Senior Treasury Analyst, Cash Management - Brighthouse Financial

Charlotte, NC

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Charlotte, NC

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