Finance Manager

 

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