Cash Management Analyst
Western & Southern Life
Cash Management Specialist
Calculates the daily investable cash position for 20+ companies/portfolios. Analyzes and interprets various data feeds, reconciling previous day bank activity against projections and making decisions regarding the ultimate investment potential of the cash flows. Protects corporate assets through the use of strong monetary controls, financial judgment skills, an understanding of accounting principles and reconcilement. Maximizes the investment return for Western & Southern Financial Group. Maintains strong relationships with bank representatives, Fort Washington Investment Advisors (FWIA) Portfolio Managers, System Managers and FWIA and Controller (Investment Records & Accounting [IR&A] and Accounting Operations) support staff Provides consulting, analysis, report generation and assistance to the Treasurer, Assistant Treasurer, Cash Manager, subsidiaries and various departments within the enterprise. Works with minimal supervision and is responsible for making an established range of decisions, escalating to manager on a regular basis.
Responsibilities
What you will do:
- Analyzes cash flows to determine the current day cash position of assigned companies in the enterprise. Communicates cash position information for assigned life insurance companies to FWIA within a very restricted timeframe. For non-life (Eagle and IFS) companies, assesses daily cash positions and determines whether to invest excess cash in money market accounts or redeem from those accounts to cover cash deficits. Accuracy of the calculations and interpretation of the data will have a critical impact on the enterprise bottom line resulting in a positive or negative total investment return. This responsibility encompasses: Using knowledge of bank products and services to control the disbursement of corporate assets as well as to alert Treasury and FWIA of aberrations in daily financial settlements.
- Utilizing a Treasury workstation for collecting financial data on each company/portfolio. Quickly manipulating online bank applications to gather current bank balances. Extracting cash-flow information from numerous Western & Southern Financial Group systems (PAM, EAS, EFT, PLM and ACE systems) and compiling comprehensive investment positions within a very restricted timeframe each morning. Ascertaining the impact of late-day cash or problem trade settlements and applying strong decision-making skills in implementing a course of action.
- Coordinating the transfer of funds for various subsidiaries within the enterprise.
- Verifying short-term trades utilizing online bank applications and communicating the status of pending trades to FWIA.
- Verifying the accuracy of investment positions held in the money market funds and reporting any discrepancies to FWIA and IR&A.
- Evaluating the enterprise bank balances daily, analyzing reported transactions to determine which operating areas are impacted and determining if unauthorized debits were processed in the accounts. Determining if ACH or wire transactions are suspicious and contacting bank representative within a short timeframe to reverse such transactions. Notifying appropriate areas of incoming funds transfers and preparing appropriate accounting entries where required. Assessing how effectively funds transfer data is communicated to business units and recommending ways to automate and streamline such communication.
- Utilizing knowledge of district office collection processing and banks' ZBA processing to detect and control missing or extraneous deposits.
- Provides consulting services to Corporate Accounting, IR&A and Information Systems to reconcile out-of-balances and intercompany fund transfers. These situations require extensive hours to research and resolve, so an understanding of the process is paramount to getting any problems resolved quickly. Extracts data from various workstations and bank reports for Corporate Accounting, IR&A and enterprise subsidiaries. Independently determines appropriate resolution of out-of-balance situations and creates journal vouchers to post entries to resolve any identified issues.
- Confirms and updates Treasury workstation with information on pending trades, including pending purchases and sales of stocks, bonds, mortgages and real estate. Interacts with Systems Managers and Programmers to help define new systems, modify existing systems and troubleshoot problems to achieve expeditious resolutions. Supports testing of disaster recovery plans.
- Reviews bank account analysis statements for assigned banks and coordinates import of billing data into bank fee analysis application. Reports any discrepancies in fees charged vs. contract and unusual variances in account activity to the Cash manager. Identifies and communicates to management any opportunities to reduce bank fees (such as eliminating duplicate or unused services and closing inactive accounts) and recommends next steps to take advantage of those opportunities. Maintains records to allow efficient research into past transactions by Controller, Auditing (including State Auditors) and Annuity Operations group.
- Initiates electronic funds transfers for payroll corrections, concentration of district office funds, funding of retained asset activity and movements of premium received at WSLIC to the correct life insurance companies. Handles ADP payroll funding duties and subsidiary reimbursements of intercompany payables. Notifies subsidiaries of reimbursement requirements and prepares required fund transfers.
- Develops cash-flow forecasts for a portion of the categories needed in the monthly cash-projection reports. Monitors the daily and monthly variances in actual versus projected income and expenses to determine if changes should be recommended. Incorporates approved changes into the daily and monthly cash forecasts.
- Plays an active role in the department's Operational Excellence journey, seeking improvements to daily processes to create efficiencies and time savings.
- Performs other duties as assigned.
- Complies with all policies and standards.
Qualifications
- Bachelor's Degree in Accounting, Finance or related field or commensurate experience - Required
- Demonstrated experience in banking and individual finance. - Preferred
- In-depth experience with Treasury Workstations, Bank Software and Investment Systems. - Preferred
- Demonstrated accounting and reconciliation experience. - Preferred
- Demonstrated sense of urgency. - Required
- Proven strong analytical skills with orientation to details. - Required
- Proven multitasking with strong prioritizing skills. - Required
- Demonstrated ability to work independently and think critically. - Required
- Strong problem-solving and root cause analysis skills. - Required
- Proven ability to be adaptable and work under time constraints. - Required
- Demonstrated excellent oral and written communication skills. - Required
- Proven flexibility (work company holidays when the banks and markets are open). - Required
- Working knowledge of Microsoft Office products. - Required
- Certified Treasury Professional (CTP)-AFP - Preferred
Work Setting/Position Demands:
- Works in an office setting and remains in a stationary position for long periods of time while working at a desk, on a computer or with other standard office equipment, or while in meetings.
- Requires the ability to verbally communicate and exchange accurate information to customers and associates on a regular basis.
- Requires visual acuity to read and interpret a variety of correspondence, procedures, reports and forms via paper and electronic documents, visual inspection involving small defects; small parts, and/or operation of machinery (including inspection); using measurement devices continuously. Visual acuity is required to determine accuracy, neatness, and thoroughness of work assigned.
- Requires the ability to prepare written correspondence, reports and forms using prescribed formats and conforming to rules of punctuation, grammar, diction, and style on a regular basis.
- Requires the ability to apply principles of logical thinking to define problems, collect data, establish facts, and draw valid conclusions
- Performs substantial movement of wrists, hands, and fingers for continuous computer work.
- Extended hours required during peak workloads or special projects/events.
Travel Requirements:
- None
- This role is responsible is for assisting the Manager, Finance Planning & Analysis (FP & A) with maintaining and reviewing financial reporting... ...and cost control. Support treasury functions including cash flow forecasting, liquidity management, and banking relationship...SuggestedWork at office
- ...training to help you grow in this position. Serves as a senior technical advisor and recognized technical authority for financial management programs supporting Facilities Management and Security Services (FMSS). Independently plans, develops, and coordinates complex...Suggested
- ...Job Title Front Line Manager Duties As a Front Line Manager you will: Plan work to be accomplished by subordinates, sets... ...mentors, develops, and evaluates a team of management and program analysts and support staff. Establishes performance expectations,...SuggestedTemporary work
- ...Position(s) are to be filled in following area(s): TS - Return Integrity and Compliance Services (RICS) - Refundable Credits Program Management (RCPM) front-office This job (or announcement) is open to current permanent IRS competitive service employees in all business...SuggestedPermanent employment
- ...General Manager Duties As a Front Line Manager you will: # Plan work to be accomplished by subordinates, sets and adjusts short-term priorities and prepares schedules for completion of work. # Assign work to subordinates based on priorities, selective consideration...SuggestedTemporary work
- ...programs, projects, and operational processes to assess effectiveness, efficiency, service delivery impacts, and the adequacy of management controls. Work products are used by management to improve operations and support management decisions affecting program operations...
- Tax Exempt/Government Agencies What is Tax Exempt/Government Agencies? A description of the business units can be found at: Position(s) are to be filled in following area(s): TEGE- Shared Services, Human & Capital Resources, HR Customer Support 1 This announcement...Permanent employment
- Taxpayer Services A description of the business units can be found at: Position(s) are to be filled in following area(s): ~ TS - RICS-Return Integrity and Compliance Services -RICS Rtn Int/Comp Svcs 40-18
$52.5k - $87.5k
...encourage candidates to connect with their recruiter and hiring manager to discuss workplace expectations and confirm branch hours and shift... ...with clients' wholistic needs, including deposits, lending, cash management, payments, and investing. Solves clients' problems courteously...Full timeTemporary workPart timeWork experience placementWork at officeShift work- ...Business Analyst Provide support and be involved in development of various business initiatives with limited supervision. Role will require custom reporting for operational business analytics utilizing Power BI, Excel, and Tableau. Must develop a strong comprehension...Work at officeLocal area
- ...requirements About the role: The Marketing Operations Analyst I supports the development, optimization, and scalability of... ...development of best practices to ensure scalable, sustainable system management Drive assigned marketing initiatives from planning through...H1b
- ...Job Description Job Description The Management Consulting Analyst supports the Asset Management team and will report directly to the Director of Asset Management. Candidates must be highly pro-active and self-driven, have a strong work ethic, and experience managing...
- ...or sales experience within a manufacturing environment. Demonstrated ability to generate leads, develop customer relationships, manage a sales pipeline, and close new business. Experience using a CRM system to document and manage daily sales activities. Strong...Full time
- ...Executive Director, practice group leaders, and client service team leaders. Provide regular feedback to the Board of Directors, Managing Partner, and Executive Director on business development programs and results. Other duties as assigned. Desired Job...Work at officeLocal area
- ...About Us From commercial office space and manufacturing to multi-site retail portfolios, we manage and support over 1 billion square feet of facilities space for the nation's leading organizations. We provide comprehensive facility services ranging from mechanical...Contract workWork experience placementFor subcontractorWork at office
- ...Senior Business Development Manager The Senior Business Development Manager is responsible for identifying, developing, and securing new business opportunities in alignment with the company's strategic growth objectives. This role includes client acquisition, market...Contract workTemporary work
- ...you've always aspired to be · Reviews, evaluates, and monitors critical numbers and progress towards goals. · Understands and manages: o The operational and financial metrics. o All marketing operations, including hiring and recruiting staff. o The admission...Full timePart timeLocal areaFlexible hours
- ...Business Development & Capture Manager — Aerospace & Defense Full-Time | Reports to CCO | Strategic Accounts | Capture Leadership Win the Business. Own the Growth. At GTC, we build precision aerospace and defense components for programs that demand the best —...Full timeContract work
- ...calling on local businesses, medical practices, presentations, or industry events and assume full accountability for the ongoing management of these opportunities Develop and manage the departmental budget Establish and maintain effective, positive working relationships...Local areaFlexible hours
- ...Description Title: Manager of Business Development Reports To: Head of Mid-Size & SMB Sales Department: GTM Location: Cincinnati, OH Position Status: Salary Exempt About DMG: Divisions Maintenance Group provides facility maintenance services...Work at officeLocal areaImmediate start
- ...Accountable. Centered on Members. Engaged. That's the FACE Culture - and what we live and breathe here at MRA. MRA (The Management Association) is seeking a Business Development Manager . Ideally, we are looking for an experienced HR pro with a creative,...Work at officeFlexible hours
- ...Business Development Manager Cincinnati, Ohio, United States Business Development Manager Location: Cincinnati | Type: Full-time | Schedule: Monday–Friday Regular in-person territory coverage required; proximity to territory (approximately 20-minute commute) strongly...Full timeWork at officeMonday to FridayFlexible hours
- ...preparation, helping identify strategic hires, and maintaining ongoing client relationships. The focus will be agency construction management and owner's representative services in both the public and private sectors for buildings, infrastructure, transit, aviation and...Temporary workLocal areaWorldwideFlexible hours
- ...opportunities from identification to contract closure. Report progress and align on execution plan Other duties as assigned by management. What You Need: ~ Networking: Ability to make connections easily and build relationships with new and existing customers....Contract workImmediate start
$175 per hour
...using differentiated messaging. • Leverage structured sales calls and value-based consultative selling techniques. • Actively manage and track opportunities within company CRM systems. • Exhibit professionalism at all times, demonstrating principles of servant leadership...Local areaRemote work$105k - $140k
...Business Development Manager (BDM)FBT Gibbons LLP is a national law firm focused on serving companies operating and investing in the middle market. With nearly 1,500 employees across 26 offices, we support clients ranging from large multinationals to mid-sized businesses...Temporary workNight shift- ...provide life and health insurance, annuities, mutual funds, and investment management products and services for millions of people through our member companies. We are seeking an IT Business Analyst I to support the development, implementation and enhancement of our...Temporary work
$150k - $225k
...the firm's long-term growth strategy. The successful candidate will work closely with executive leadership, operations, project management, and marketing teams to drive revenue growth and expand the company's footprint. Key Responsibilities Develop and maintain relationships...For contractorsWork visa- ...trusted tri-state name for over 90 years in locksmithing, door, and access control solutions is looking for a Business Development Manager to join our team in Cincinnati, OH! This is a true outside sales hunter role focused on new business development and cross-selling...Base plus commissionContract work
- ...mining, research, and experience Represent the company by engaging with local businesses, medical practices, and industry events, managing these opportunities effectively Develop and manage the departmental budget Establish and maintain positive working relationships with...Local areaFlexible hours
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Cash Management Analyst. Be the first to apply!
- senior data management analyst Cincinnati, OH
- deloitte business technology analyst Cincinnati, OH
- business analyst healthcare Cincinnati, OH
- configuration management analyst Cincinnati, OH
- business development analyst Cincinnati, OH
- business analyst Cincinnati, OH
- remote business analyst Cincinnati, OH
- fiserv business analyst Cincinnati, OH
- public sector business analyst Cincinnati, OH
- business strategy analyst Cincinnati, OH


