05/21/2026
Description
Description Uses Cash Management expertise to maximize operational effectiveness through partnerships with Treasury, business unit(s), and vendor stakeholders. Supports technical assessments using data analysis and business process to identify opportunities to solve liquidity, intercompany, capital transaction, and cash operations challenges. Leads small and mid-sized projects and is a project team member on other projects. Supports ongoing Cash Management activities and objectives—including liquidity framework, debt operationalization, intercompany settlements, internal loaning/investing, cash operations, and footnote reporting—while driving enhancements and rollout for company-wide initiatives. Provides support for operational work for Cash Management. Is a role model and mentor for teammates by supporting the development of their capabilities. We encourage applications from high‑performing Financial or Treasury Analysts ready to take the...
Liberty Mutual
Seattle, WA
Full Time
