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Home » Cigna Internships Summer 2023 – Liquidity Management Lead Analyst In Humble

Cigna Internships Summer 2023 – Liquidity Management Lead Analyst In Humble

    Website Cigna

    Job Description:

    The Financial Analysis Lead Analyst, Liquidity Management will be responsible for maintaining the parent-level cash forecasting process and working with various business partners throughout the company to collect information and ensure that parent liquidity needs  are fulfilled. These responsibilities include day-to-day tracking of transactional activity, obtaining and reviewing forecast assumptions, completing variance analysis, determining commercial paper issuance requirements, and working closely with the Treasury Operations department to manage intercompany borrowing and lending activity.  In addition, this position will also support the Principal, Cash Leadership Office with various initiatives to improve the cash flow performance of the company. The position can be based out of our Philadelphia, PA, Bloomfield, CT, or St. Louis, MO offices, or be full time remote.

    Job Responsibilities:

    • Support initiatives to improve the cash flow generation and parent-cash position of the company
    • Produce variance analyses and dashboard reporting for Corporate Treasury leadership
    • Manage the forecasting, reporting, and analysis process to ensure visibility and efficient management of parent level liquidity
    • Ability to identify risks and opportunities as well as oversee issue resolution related to cash flow
    • Participate and partner with cross-functional teams for execution of working capital initiatives
    • Monitor parent cash levels to ensure adequate liquidity to support the company’s operations

    Job Requirements/Qualifications:

    • Ability to work cross functionally and build strong relationships with internal and external partners
    • Strong oral and written communications and presentation skills.
    • Hyperion Essbase/Smartview experience preferred
    • Advanced expertise in Microsoft Excel and PowerPoint
    • Self-starter who takes ownership of initiatives, possess an attention to detail and has a solutions-based mindset
    • Proficient in financial reporting and analysis
    • Bachelor’s degree in Finance, Accounting, Economics, or a related field strongly preferred
    • Ability to prioritize, manage time effectively, and escalate issues appropriately
    • 3+ years of experience in Finance, Corporate Treasury, FP&A, Accounting or similar functions

    To apply for this job please visit

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