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TREASURY ANALYST I

Covenant Health
Posted a month ago, valid for 10 days
Location

Knoxville, TN, US

Salary

Competitive

Contract type

Full Time

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Sonic Summary

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  • Covenant Health is seeking a Treasury Analyst I to support daily treasury operations, including cash management and investment reporting.
  • The position requires a Bachelor's degree in finance, accounting, business administration, economics, or a related field, with no prior experience necessary.
  • Responsibilities include maintaining accurate records, supporting cash management processes, and assisting with debt administration.
  • This full-time role offers 80 hours per pay period during the day shift, contributing to the healthcare network's mission of improving community health.
  • Salary information is not provided in the overview.

Overview

 

Treasury Analyst, Finanicial Analytics

Full Time, 80 Hours Per Pay Period, Day Shift

 

Covenant Health Overview:

Covenant Health is the region’s top-performing healthcare network with 10 hospitals, outpatient and specialty services, and Covenant Medical Group, our area’s fastest-growing physician practice division. Headquartered in Knoxville, Covenant Health is a community-owned integrated healthcare delivery system and the area’s largest employer. Our more than 11,000 employees, volunteers, and 1,500 affiliated physicians are dedicated to improving the quality of life for the more than two million patients and families we serve every year. Covenant Health is the only healthcare system in East Tennessee to be named a Forbes “Best Employer” seven times. 

 

Position Summary

Covenant Health’s Treasury Analyst I supports daily treasury operations, including cash management, banking, investment reporting, debt administration and treasury accounting. This position assists with reporting, transaction support, reconciliations, documentation and analysis to support liquidity, compliance and financial decision-making.

Responsibilities

General:

  • Support treasury operations, internal controls, compliance activities, reporting, documentation and special projects.
  • Maintain accurate records, schedules, files and supporting documentation while handling confidential financial information appropriately.
  • Identify routine process improvement opportunities and communicate issues or observations to Treasury leadership.

Cash Management:

  • Support daily cash positioning, cash reporting, short-term forecasting and review of cash inflows, outflows and unusual activity.
  • Prepare or assist with cash transfers, wire requests, check deposits, cash application support, funding documentation and related approvals.
  • Provide operational support for mail distribution, petty cash, P-Card management, rebate tracking and analysis, clearing checks, bank activity documentation and other routine cash management processes.

Banking Operations:

  • Maintain bank account records, signer documentation, service information, system access records and related treasury system administration.
  • Support online banking, cash management services, investment custody platforms, deposit services, remote deposit, ACH and wire instruction verification and related banking tools.
  • Coordinate with departments and banking partners to resolve routine inquiries, transaction issues, documentation requests, service changes and account reviews.

Investment Management:

  • Prepare investment reports, compile performance data, maintain schedules and support management reporting, audits and compliance reviews.
  • Record, review, reconcile and monitor investment activity in coordination with Accounting, investment advisors and other stakeholders.
  • Maintain documentation for investment balances, earnings, transfers, transactions and related reporting requirements.

Debt Management:

  • Maintain debt schedules, amortization schedules, payment records, trustee statements, reporting deadlines and supporting documentation.
  • Support debt service payment documentation, including scheduled principal and interest activity.
  • Compile information for debt reporting, covenant compliance, refinancing, new debt issuance and related administration.
  • Coordinate with Treasury leadership, Accounting, trustees and external advisors to support timely debt administration.
  • Follows policies, procedures, and safety standards. Completes required education assignments annually. Works toward achieving goals and objectives, and participates in quality improvement initiatives as requested.
  • Performs other duties as assigned.

Qualifications

Minimum Education:          

Bachelor’s degree in finance, accounting, business administration, economics or related field required.

 

Minimum Experience:         

None

 

Licensure Requirement:      

None




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