Cash & Investments Manager
HMSA · Honolulu, HI · 2 wk ago
Hybrid$78k–$153k/yrFull-time
Employment Type: Full-time, Exempt
Pay Range: $78,000 - $153,000 (Individuals typically begin between the minimum to middle of the pay range)
About the role
Oversee daily cash positioning, concentration, and funding/settlement across HMSA legal entities. Support oversight of corporate banking and financial institution relationships, primarily related to treasury, cash management, and settlement operations.
Responsibilities
- Oversee daily cash positioning, concentration, and funding/settlement across HMSA legal entities.
- Support oversight of corporate banking and financial institution relationships, primarily related to treasury, cash management, and settlement operations.
- Execute and approve wires, ACH, and EFT payments.
- Serve as a second approver for trading and treasury transactions to support dual authority and segregation of duties.
- Own the build-out and maintenance of the 13-week hybrid-direct cash flow forecast and tiered liquidity reporting (Tier 1, 2, and 3).
- Produce daily, weekly, and quarterly treasury reporting packages for the CFO, Treasurer, and senior leadership.
- Manage execution of HMSA's Investment Policy Statement and monitor compliance.
- Own yield balancing across operating, reserve, and strategic capital pools to maintain compliant, risk-adjusted return on investable cash.
- Maintain internal controls and reconciliation processes. Partner with Internal and External Audit on treasury reviews.
- Partner with Accounting, FP&A, and other cross-functional teams to integrate treasury processes and forecasts into enterprise planning and balance sheet forecasting.
- Perform all other miscellaneous responsibilities and duties as assigned or directed.
Requirements
- Bachelor's degree in Finance, Accounting, Economics, or a related field and seven years of progressive experience in treasury, cash management, investments, and/or corporate finance; or equivalent combination of education and experience.
- Experience with daily cash positioning, liquidity forecasting, and bank platform operations.
- Strong understanding of internal controls, segregation of duties, and treasury risk management.
- Excellent executive communication skills.
- Advanced knowledge of Microsoft Excel, including complex modeling and dashboard development.