Treasury Strategy Analyst: Cash, Debt & Forecasting
Indiana University Health
Indiana University Health is looking for a Senior Financial Analyst to join their treasury team in Indianapolis. The role requires a strong analytical background with 2+ years of experience in financial analysis and cash management. The Senior Financial Analyst will support daily treasury operations, assist with liquidity forecasting, and contribute to process improvements. A Bachelor's degree in Accounting or Finance is required, along with proficiency in Microsoft Office, especially Excel. #J-18808-Ljbffr Indiana University Health
- ...Description Senior Financial Analyst - Treasury Reporting to the... ...consisting of over $9 billion in cash and investments and over $3 billion in outstanding debt, while ensuring critical daily... ...payment processing, liquidity forecasting, and capital markets...CashWork at office
$75k - $90k
...based organization seeking a Senior Treasury Analyst. This position will join a high-performing... ...treasury team responsible for cash management, forecasting, liquidity optimization, payment processing... ..., reporting, and exposure to debt capital markets activities. The ideal...CashLocal area- ...based organization seeking a Senior Treasury Analyst. This position will join a high-performing... ...treasury team responsible for cash management, forecasting, liquidity optimization, payment processing... ..., reporting, and exposure to debt capital markets activities. The ideal...Cash
- Senior Financial Analyst - Treasury Reporting to the Assistant Treasurer, this... ...of over $9 billion in cash and investments and over $3 billion in outstanding debt, while ensuring critical daily... ...payment processing, liquidity forecasting, and capital markets activities...CashWork at officeLocal area
- ...Superintendent to develop long-term financial strategies and identify financial priorities... ...plan Validate the organization's cash flow and liquidity forecasts, ensuring adequate reserves and... ...Oversee bond compliance, issuance, and debt management Direct capital purchase...CashAfternoon shift
- ...integrity, long‑term financial strategy, and fiscal stewardship of... ...over accounting, treasury, budgeting, forecasting, rate and regulatory finance... ...Financing Manage liquidity, cash flow forecasting, and banking... ...financing activities including debt issuance, credit facilities...CashWork experience placementCasual workWork at officeFlexible hours
$500 per month
...construction and management. This position is responsible for leading debt capital markets activities within Milhaus. The team member... ...refinances, extensions, modifications, and hedging strategies. Forecasts debt for development pipeline including managing lending limits...Permanent employmentTemporary workWork at officeLocal area- ...insights that improve financial visibility, forecasting accuracy, and performance management.... ...-range planning, monthly forecasting, cash/debt reporting and performance reporting... ...Job function Job function Finance and Strategy/Planning Industries Investment Management...CashFull time
- ...procedures Formulate overall project planning, budgeting, forecasting and reporting strategies. Develop statements of work and/or client proposals... ...multiple business processes: (PTP, OTC, GL, FA, Budgeting, Cash Management, Grant Management, etc…)4+ years prior experience...CashFull timeWork experience placementLive in
- ...maintaining liquidity and cash flow, and supporting... ...Provide clear direction and strategy for the accounting team... ...Accounting & Treasury Develop and implement... ...to support budgeting, forecasting, and financial planning... ...financing activities such as debt and equity issuance as...Cash
$225k - $275k
...meaningful change across systems, processes, margins, and growth strategy. Responsibilities Lead all accounting and finance functions, including financial reporting, budgeting, forecasting, cash management, and controls Provide strategic financial guidance...CashWork at office3 days per week- ...planning, reporting, compliance, and treasury functions while serving as a... ...operations, including budgeting, forecasting, accounting, and reporting Manage cash flow, liquidity, and investment activities... ...requirements) Guide financial strategy for real estate and lending...Cash
- ...Indianapolis, IN is seeking a Cost Controller to support project teams with budgeting, cost analysis, and cash flow management. The position involves budgeting, forecasting, cost tracking, financial reporting, and collaborating with vendors to meet financial goals. The...Cash
- ...executing financial and capital markets strategy. This includes leading budgeting, forecasting, and long-range financial... ...also be responsible for managing cash runway, capital allocation, and financial... ...with institutional investors and analysts. Applicants for the CFO position...Cash
- ...Financial Officer (CFO) to lead finance strategy and operations. Reporting directly to the... ...model, ensuring accurate planning and forecasting. Lead the end-to-end fundraising process... ...entries, reconciling accounts, managing cash, and handling G/L analysis. Lead the...CashWork at officeRemote workFlexible hours
- ...consolidate, and analyze budgets, forecasts, M&A valuation analysis, job... ...lead a team of 1-2 financial analysts and will develop reporting... ...and thoughtful influencing strategies to impact, shape, or redirect... ...modeling of P&L, Balance Sheet, and Cash Flow statements. Develop...CashFull time
- ...Financial Officer (CFO) to spearhead and implement the financial strategy of the business. The ideal candidate for this role is a... ...and analyzing financial statements, developing financial forecasts, budgets, and cash flow models, and maintaining internal controls and...Cash
$300k - $360k
...responsible for shaping financial strategy, driving profitable growth,... ...across accounting, FP&A, treasury, and tax, fostering a culture... ...in accordance with GAAP Manage cash flow, working capital, and liquidity... ...banking relationships and debt facilities Deep knowledge of GAAP...CashContract workFlexible hours$189.2k - $372.9k
Position Summary Private Equity M&A Strategy & Diligence Senior ManagerOur Deloitte Strategy & Transactions team helps guide clients... ...across commercial and operational lenses to pressure-test forecasts, quantify synergies, and surface value drivers and deal risks...Odd jobWork experience placementLocal area$155.6k - $306.8k
Position Summary Private Equity M&A Strategy & Diligence Manager Our Deloitte Strategy & Transactions team helps guide clients... ...capabilities across commercial and operational lenses to pressure-test forecasts, quantify synergies, and surface value drivers and deal risks...Odd jobWork experience placementLocal area- ...includes overseeing finance, accounting, treasury, budgeting, forecasting, and financial reporting, as well as... ...to enhance revenue integrity, cash flow, and overall financial performance... ...in payer contracting, managed care strategies, and will be expected to build...Cash
$131.04k
...participating in the preparation of client proposals and strategies to win new business. You have interest in working with... ...Payable, Accounts Receivable, Fixed Assets, Budgeting, Cash and Bank Management, Forecasting, Planning, and Project Operations. Configuring and...CashFull timeTemporary workWork at officeLocal areaRemote workFlexible hours- ...Vice President, Credit Risk Strategy & Data Science About the Company High-growth SMB lender building the next generation of credit... ...data science teams, particularly in the areas of alternative data, cash-flow underwriting, and transaction-based decisioning. The...Cash
$171.6k - $338.3k
Position Summary Our Deloitte Strategy & Transactions team helps guide clients through... ...on historical and projected earnings, cash flows, contingencies, commitments, exposures... ..., bank finance agreements, and public debt offering documents• Supporting transaction...CashLocal areaVisa sponsorship- ...Overview Director of Treasury – Northside Indianapolis... ...to lead the company’s cash management and treasury... ...and driving financial strategy. The Director of Treasury... ...ensure compliance with debt agreements and tax regulations... ...financial reporting, forecasts, and performance...CashTemporary work
- ...and reconcile financial records, manage cash, provide timely and accurate reporting,... ...advisor to CEOs/founders/leadership: develop strategy, monitor financial health, and drive... ...function of client engagements: budgeting, forecasting, cash-flow management, KPI dashboards....CashInterim roleRemote work
- ...solutions and assets across Strategy & Consulting, Technology, Operations... ..., denial rate reduction, and cash acceleration.Identify and... ...including budgets, revenue forecasting, and margin performance.Practice... ...and mentor consultants and analysts, setting high standards for...CashFull timeLive inWork at officeLocal areaShift work
$175k - $200k
...Indianapolis, Indiana Drive Strategy. Build Value. Lead Growth.... ...EBITDA, profitability, cash flow, and overall enterprise... ...Lead annual budgeting, forecasting, and long-range financial planning... ...Accounts Receivable Payroll Treasury & Cash Management Banking...Cash- Salesforce is seeking a Finance & Strategy Manager focused on revenue forecasting within the Corporate F&S Revenue team. The role collaborates with GTM, Product, Controllership, and Investor Relations to deliver accurate forecasts and insightful analyses. You will develop...
- ...primary staff leader responsible for all aspects of financial strategy, reporting, risk management, and property management, working... ...selection and banking relationship management, including treasury, cash management, and payment controls. Interpret financial information...CashFull timeWork at officeLocal areaImmediate start
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