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Senior Financial Analyst - Treasury Capital Markets and Investment Operations | Financial Analyst 1

This listing was posted on InsuranceJobs.

Senior Financial Analyst - Treasury Capital Markets and Investment Operations

Location:
Chicago, IL
Description:

You have a clear vision of where your career can go. And we have the leadership to help you get there. At CNA, we strive to create a culture in which people know they matter and are part of something important, ensuring the abilities of all employees are used to their fullest potential. CNA seeks to offer a comprehensive and competitive benefits package to our employees that helps them - and their family members - achieve their physical, financial, emotional and social wellbeing goals. For a detailed look at CNA's benefits, check out our Candidate Guide . Job SummaryThe Senior Financial Analyst position is part of CNA's Investments, Treasury & Investor Relations Division. This division is responsible for managing the firm's bank relationships and cash management activities, as well as trade settlement, analysis, accounting and reporting for the firm's $40+ billion investment portfolio. This role offers an opportunity to collaborate across the division and with various business units outside of Investments & Treasury including our banking partners and asset managers in order to align strategic initiatives with daily activities. JOB DESCRIPTION: Essential Duties & Responsibilities may include: Assist with the execution of the global short term investment portfolio of approximately $1.2 billion. Partner with Cash Operations and other internal business units on daily cash needs and ensuring funding needs are met. Perform trade settlement responsibilities for the firm's $40+ billion investment portfolio. This includes but is not limited to utilizing Bloomberg and banking resources to monitor trade activity, investigate individual transactions, and resolve issues through communication with trading team, brokers, and custody bank personnel. Responsible for ensuring resolution of voluntary corporate actions via daily monitoring of pending actions, coordinating with credit analysts, and providing appropriate instruction is executed. Perform other middle office investment responsibilities including monthly reconciliation of investment positions between custody and accounting records as well as application of third-party pricing. Participates in defining the issues and scope of assigned projects; suggests approach and methodology, and enhances analysis where applicable. Assist in the development and implementation of financial strategies or tactics. Prepares and presents interpretations of findings for leadership within Investments & Treasury Division and broader corporate partners. Proactively investigate anomalies and variances in data. Interacts and coordinates with other departments to address business issues and meet organizational objectives. Participates in Sarbanes-Oxley reviews as needed. Completes audit requests, as required. Reporting Relationship Director or Above Skills, Knowledge & Abilities Excellent organization, planning and time management skills. Proven ability to manage competing priorities and execute deliverables in a timely fashion. Act like an owner by taking pride in your work and acting with a sense of urgency. Strong analytical skills able to solve problems creatively by using your imagination, valuing diverse ideas, embracing change, and making processes as efficient as possible. Ability to foster and maintain collaborative relationships with external and internal customers, peers, and management. Good verbal and written communication and presentation skills. Technical knowledge of banking processes, documentation, applications and controls is a plus. Education & Experience Bachelor's Degree in finance, accounting, or related field Typically three to five years of related experience #LI-MR1 #LI-Hybrid CNA is committed to providing reasonable accommodations to qualified individuals with disabilities in the recruitment process. To request an accommodation, please contact XXXX@cna.com . Requisition #: R-32496ahf9io63
Company:
CNA
Posted:
April 8 on InsuranceJobs
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More About this Listing: Senior Financial Analyst - Treasury Capital Markets and Investment Operations
Senior Financial Analyst - Treasury Capital Markets and Investment Operations is a Accounting & Finance Financial Analyst Job at CNA located in Chicago IL. Find other listings like Senior Financial Analyst - Treasury Capital Markets and Investment Operations by searching Oodle for Accounting & Finance Financial Analyst Jobs.