Description:
Corebridge Financial seeks a Treasury Analyst to support corporate treasury operations, liquidity management, and bank relationships. The role involves producing liquidity cash flow forecasts, managing short-term investments, performing bank fee analysis, and preparing liquidity reports for management and regulators. The analyst will collaborate with FP&A, Capital Planning, Tax, ERM, and Investments teams to support strategic initiatives such as debt management and share buyback programs.
Key responsibilities include:
Managing parent company liquidity and short-term investments.
Conducting liquidity forecasting, stress testing, and regulatory reporting.
Supporting development of the company’s Liquidity Framework and related policies.
Analyzing bank fees and maintaining relationship reporting.
Assisting with strategic treasury initiatives and financial presentations.
Qualifications:
Bachelor’s degree in Finance, Treasury, or related field.
Experience in Finance or Treasury (insurance/financial services preferred).
Strong understanding of corporate finance, accounting, and investments.
Excellent analytical, communication, and organizational skills.
Proficiency in MS Excel, PowerPoint; VBA, SAP Treasury, and MicroStrategy preferred.
Benefits:
Comprehensive health, dental, and vision coverage; 401(k) with 6% match + 3% company contribution; 24+ PTO days; volunteer hours; charitable donation matching; and mental health and wellness programs.
| Organization | Corebridge Financial |
| Industry | Accounting / Finance / Audit Jobs |
| Occupational Category | Finance Manager |
| Job Location | New York,USA |
| Shift Type | Morning |
| Job Type | Full Time |
| Gender | No Preference |
| Career Level | Intermediate |
| Experience | 2 Years |
| Posted at | 2025-11-07 12:37 pm |
| Expires on | 2025-12-22 |