Treasury Analyst: Liquidity, Forecasting & Investments
$46.99k - $112.2kCVSHealth
We’re building a world of health around every individual — shaping a more connected, convenient and compassionate health experience. At CVS Health®, you’ll be surrounded by passionate colleagues who care deeply, innovate with purpose, hold ourselves accountable and prioritize safety and quality in everything we do. Join us and be part of something bigger – helping to simplify health care one person, one family and one community at a time. Manages the organization's financial assets, cash flow, and liquidity by overseeing cash management activities, forecasting cash needs, and optimizing investment strategies. Primary Job Duties & Responsibilities Applies in-depth knowledge to monitor and manage the cash flow activities of various Aetna portfolios, including forecasting and analyzing cash positions, optimizing cash utilization, and implementing strategies to improve working capital management. Designs and executes strategies to ensure the assigned portfolio maintains sufficient liquidity to meet its operational and financial obligations. Analyzes investment opportunities, assesses the financial impact of various initiatives, and provides recommendations based on the analysis. Ensures full compliance with all applicable financial regulations and internal policies, under general supervision. Communicates with internal stakeholders, such as Finance teams, senior management, and operational departments, to understand their treasury-related needs and expectations. Interacts with external parties, such as banks and financial institutions, to manage relationships and payments. Act as backup analyst for other Aetna liquidity managers within the Corporate Treasury team to ensure continuity. Education Bachelor degree or equivalent experience Prior Relevant Work Experience 2-5 years experience in corporate finance or treasure related filed Preferred Qualifications Working knowledge of problem solving and decision making skills Foundational knowledge of liquidity management principles Knowledge of the HCB segment and insurance business model Anticipated Weekly Hours 40 Time Type Full time Pay Range The typical pay range for this role is: $46,988.00 - $112,200.00 This pay range represents the base hourly rate or base annual full-time salary for all positions in the job grade within which this position falls. The actual base salary offer will depend on a variety of factors including experience, education, geography and other relevant factors. This position is eligible for a CVS Health bonus, commission or short-term incentive program in addition to the base pay range listed above. Our people fuel our future. Our teams reflect the customers, patients, members and communities we serve and we are committed to fostering a workplace where every colleague feels valued and that they belong. Great benefits for great people We take pride in offering a comprehensive and competitive mix of pay and benefits that reflects our commitment to our colleagues and their families. This full‑time position is eligible for a comprehensive benefits package designed to support the physical, emotional, and financial well‑being of colleagues and their families. The benefits for this position include medical, dental, and vision coverage, paid time off, retirement savings options, wellness programs, and other resources, based on eligibility. Additional details about available benefits are provided during the application process and on Benefits Moments . We anticipate the application window for this opening will close on: 06/26/2026 Qualified applicants with arrest or conviction records will be considered for employment in accordance with all federal, state and local laws. #J-18808-Ljbffr CVSHealth
- ...Resources LLC is seeking a dedicated professional to join their Corporate Treasury team. This role requires managing cash flow activities for Aetna portfolios, forecasting cash positions, and ensuring liquidity to meet obligations. Applicants should have 2-5 years of...SuggestedFull time
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- Riley Permian is seeking a Treasury Analyst for their office in Oklahoma City, OK. This full-time position involves supporting the company’s treasury, banking, and risk management activities. Responsibilities include monitoring cash positioning, preparing deposits, and...SuggestedFull timeWork at office
- ...Office - Oklahoma City, OK 73104 Position Type: Full Time The Treasury Analyst will support the company’s treasury, banking and risk... ...Responsibilities Monitor daily cash positioning and short-term liquidity forecasts Prepare deposits, wires and assist with day-to-day banking...SuggestedFull timeTemporary workWork at office
$55k - $65k
...Finance and Accounting Recruiter at Addison Group 405.438.3954 Treasury Analyst Full-time | Entry-Level to Early Career | Excellent Growth... ...and other departments, helping manage the company’s liquidity and financial reporting processes while identifying opportunities...SuggestedFull timeWork at office- ...financial operations, including budgeting, forecasting, cash flow management, and financial... ..., auditors, and tax advisors. Monitor investment performance metrics, expenses, and portfolio... ...with capital calls, distributions, and liquidity planning. Partner with senior...
$80k - $90k
...Solutions is partnering with a growing organization seeking a Treasury Analyst to support key treasury, banking, and financial risk... ...Manage daily cash positioning and assist with short-term liquidity planning Support banking operations including wires, deposits...Remote jobTemporary workWork at officeLocal area- ...manage day-to-day financial operations, including budgeting, forecasting, and financial reporting. The successful candidate will lead... ...related field and have 5-8 years of experience in finance or investment management, preferably in an investment firm or financial services...
$50 - $60 per hour
...need to hold an expert level of financial reasoning. Other related fields include, but are not limited to: Financial Accounting, Investment Banking, Wealth Management, and Insurance Planning. Benefits This is a full-time or part-time REMOTE position You’ll be able to choose...Hourly payFull timeContract workPart timeRemote work- A leading financial services organization in downtown Oklahoma City is seeking an entry-level Treasury Analyst to support cash management operations and financial reporting processes. This role offers mentorship and tremendous visibility across the company, ideal for a...
- MedTeam Staffing Inc. is looking for a Treasury Analyst in Oklahoma City. The role involves managing banking activities, analyzing cash flows, and implementing cash management policies. The ideal candidate will have a Bachelor’s degree in Accounting and 2-3 years of related...
- Markent Personnel, Inc. is seeking a Treasury Analyst in Oklahoma City, who will oversee and analyze all banking and financial activities. The role includes managing daily cash transactions, developing cash management policies, and reconciling various accounts. Candidates...
- ...key role supporting senior stakeholders with robust budgeting, forecasting, reporting and financial governance, ensuring effective... ...development and review of business cases, options appraisals and investment decisions . Ensure strong financial controls, compliance and...Permanent employmentContract workLocal area
$185k
...include: Directing all financial activities, including reporting, planning, supervision, and investments for the organization. Helping the Executive Team in forecasting, budgeting, and preparing for the next level. Preparing and filing annual tax returns or...$90k - $100k
Help at Home is looking for a Senior Treasury Analyst in Oklahoma City, OK. The role involves analyzing financial data, preparing treasury reports, and developing cash management strategies. Candidates should have a Bachelor's degree and 3-5 years of relevant experience...- Forest Recruiting Group aka Affiliated Recruiters Network is seeking a Treasury Analyst in Oklahoma City, responsible for managing and analyzing all banking and financial activities. You will develop cash management policies to ensure alignment and represent the company...
- ...will be responsible for overseeing the preparation of budgets, forecasts, and financial plans, and providing in-depth analysis and... ...to work closely with the private equity sponsor to execute the investment thesis and drive the company's scale through both inorganic and...
- ...leading the annual budgeting process, and ensuring financial forecasts are communicated effectively. This role demands a leader who is... ...plain language, have a strong background in cash management and investment portfolio oversight, and be experienced in long-term fiscal...Local area
- ...Chief Financial Officer (CFO) About the Company Innovative investment decision-making platform Industry Financial Services... ...and will involve leading all financial planning, budgeting, forecasting, and scenario modeling. The successful candidate will also be...Remote work
- ...journey, developing and maintaining detailed financial models, forecasts, and business plans, creating investor materials, and... ...to stock issuance. The role requires a background in ECM, M&A, investment banking, Big 4 advisory, or strategy consulting, as well as strong...
- ...coordinating and directing financial planning, budgeting, and investment activities, and ensuring compliance with federal and state... ...regulations. This role involves in-depth financial analysis, revenue forecasting, and cash flow management. The CFO will also be involved in...Temporary work
- ...and analysis functions, as well as developing and managing financial budgets, forecasts, and reporting systems. This critical role also involves overseeing and evaluating strategic investments and acquisitions, conducting financial due diligence, and providing insights...Remote work
$132.23k - $176.31k
...a key leader responsible for integrating financial modeling, forecasting, budgeting, and KPI reporting into a cohesive view of the business... ...alternatives. Support development of business cases and investment analysis , including linking spend to growth, margin, and...Temporary workRemote work- Confident Search Consultants is hiring a Treasury Analyst in Oklahoma City. This role involves managing all banking and financial activities, developing cash management strategies and representing the company in banking matters. The ideal candidate should have a Bachelor...
- Gallman Consulting is seeking a Treasury Analyst in Oklahoma City. This role involves managing all banking and financial activities, including cash transactions and cash management strategies. The successful candidate will analyze cash flow, develop policies for cash management...
- Accounting Search is hiring a Treasury Analyst in Oklahoma City to manage banking and financial activity. The role involves developing cash management policies and analyzing cash flow. Candidates need a B.S. in Accounting and supervisory experience. Essential functions...
- Metro Associates is seeking a Treasury Analyst in Oklahoma City to manage banking and financial activities. The candidate will develop cash management policies, analyze cash flow, and represent the company on banking issues. Key responsibilities include managing cash transactions...
$110k - $125k
...Manager to oversee financial planning and analysis. This role involves serving as a strategic partner, managing budgets, and refining forecast accuracy. Candidates should have at least 5 years of experience in financial services, strong analytical skills, and familiarity...Remote work$78k - $113k
...and a minimum of 2 years of experience in strategy consulting, investment banking or private equity with a healthcare focus; or... ...Power Point; Proficient in financial modeling, budgeting, and forecasting techniques Strong analytical skills with the ability to interpret...Full timeWork at officeFlexible hours$50 - $60 per hour
A forward-thinking AI company is seeking a Fund Manager to join their remote team, focusing on improving AI Assistant financial understanding. This position allows for flexibility in schedule and workload, and requires expertise in finance with an advanced degree (MBA or...Remote jobHourly payFlexible hours
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