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Senior Finance Analyst - Treasury - Remote

Remote

Mutual of Omaha Insurance Company has an immediate full-time opening in our Treasury department for an experienced, self-motivated, and results-oriented analyst responsible for cash accounting, audit and compliance along with being an administrator for Treasury and banking applications.

This position will actively participate in an environment that embraces change and innovation, collaboration, learning, and interactive feedback while having fun yet adhering to finance policies, procedures and internal controls.

WHAT WE CAN OFFER YOU:

  • Estimated Salary: $80,000-$84,000, plus annual bonus opportunity.
  • Benefits and Perks, 401(k) plan with a 2% company contribution and 6% company match.
  • Regular associates working 40 hours a week can earn up to 15 days of vacation each year.
  • Regular associates receive 11 paid holidays in 2025, which includes 2 floating holidays that are added to your prorated personal time to be used at your discretion.
  • Regular associates are provided sick leave through the use of personal time. Associates working 40 hours a week can receive up to 40 hours of personal time in 2025, which is prorated based on the start date. Additionally you will receive two floating holidays in 2025 by way of personal time that may be used at your discretion.
  • Applicants for this position must not now, nor at any point in the future, require sponsorship for employment. 

WHAT YOU'LL DO:

  • Serve as subject matter expert and security administrator for Treasury and bank applications, and transactions. Maintain bank account data and documentation in the Treasury Management System (Gtreasury).
  • Complete audit requests in a timely and accurate manner from internal and external stakeholders.
  • Lead and document key processes, projects, decisions, and insights to business partners.
  • Own the monthly reconciliation of all general ledger accounts related to intercompany and external lending.
  • Complete annual user access in a timely and organized manner. Actively participate in the timely completion for Business Information Management and Business Continuity tasks.

WHAT YOU’LL BRING:

  • Ability to work under pressure, establish deadlines for themselves & team and execute against them.
  • Strong communication skills verbally, non-verbally and in written formats, with peers and management including in times of conflict and negotiation.
  • Attention to detail and follow-up, analytical acumen and excellent organizational skills with the ability to handle and prioritize multiple and competing priorities across team members.
  • Ability to work both independently and collaboratively in a team environment. Strong problem-solving and decision-making abilities with minimal supervision.
  • You promote a culture of diversity and inclusion, value different ideas and opinions, and listen courageously, remaining curious in all that you do.
  • Able to work remotely with access to a high-speed internet connection and located in the United States or Puerto Rico.

PREFERRED:

  • Bachelor's degree or equivalent experience in a finance-related field.
  • Understanding of GAAP and statutory accounting and/or insurance business processes.
  • Experience with a treasury workstation, PeopleSoft and JIRA.
  • Knowledge of cash accounting, specific to Treasury transactions.

We value diverse experience, skills, and passion for innovation. If your experience aligns with the listed requirements, please apply! 

If you have questions about your application or the hiring process, email our Talent Acquisition area at careers@mutualofomaha.com. Please allow at least one week from time of applying if you are checking on the status.

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