Corporate Finance Intern

greatamerica

Cedar Rapids (IA)

On-site

USD 25,000 - 33,000

Part time

3 days ago
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Job summary

GreatAmerica is seeking a Corporate Finance Intern to support FP&A and Treasury teams. You will perform financial analysis, develop and enhance financial models, and present recommendations to senior leadership.

The role also involves supporting cash management processes and funding strategy planning. Ideal candidates are pursuing Finance or Economics degrees with strong analytical skills, Excel proficiency, and a collaborative mindset.

Qualifications

  • Pursuing a bachelor's or graduate degree in Finance or Economics with GPA ≥ 3.25.
  • No prior work experience required; internships or work in finance are a plus.

Responsibilities

  • Perform variance and trending analysis for company metrics and present findings with recommendations.
  • Contribute to monthly financial analysis and internal leadership reporting.
  • Assist in preparing 5-year financial models (income statement, balance sheet, cash flow).
  • Maintain profitability and pricing tools using data analysis and models.
  • Support treasury cash management and funding strategy analysis.

Skills

Analytical skills
Problem solving
Excel proficiency
Communication
Teamwork
Learning mindset
Financial judgment

Education

Finance or Economics degree

Tools

Excel
PowerPoint
Word
Tableau
MS BI

Job description

Position Summary

Help influence GreatAmerica's future as a Corporate Finance Intern! This internship is designed to recruit the best and brightest finance and/or economics students from four-year colleges and universities to strengthen our teams for the future. The internship is structured for time to be spent working within the Corporate FP&A and Treasury teams. The intern will perform financial analysis as well as present findings and recommendations to senior leadership. The intern will also assist in the development and enhancement of financial tools and models used to support strategic business decisions. Additionally, the intern will support the Treasury team's ongoing cash management processes and perform analysis in support of optimizing our funding strategy.

Primary Responsibilities
  • Perform variance and trending analysis for certain company and business unit financial metrics and performance measures. Summarize findings for senior leadership along with recommendations.
  • Contribute to monthly financial analysis and internal reporting presented to the leadership team.
  • Assist in the preparation of the corporate and business unit 5-year financial models used to forecast operating results, including the income statement, balance sheet and cash flow statements. May also perform scenario analysis and decision support.
  • Maintain and update profitability and pricing tools using results from data analysis and 5-year financial models.
  • Contribute data analysis and financial analysis to projects in other key areas of the company which have financial implications.
  • Perform post-project analysis on completed projects to evaluate if planned outcomes were achieved.
  • Make recommendations to management regarding cost saving or profit generating opportunities and profitability improvement strategies.
  • Assist in evaluating the daily cash position of the company to ensure liquidity requirements are met while minimizing interest expense.
  • Assist in the monitoring of bank fee expenses.
  • Maintain and update cash flow forecasting tools to assist in the forecasting of ongoing cash and debt needs.
  • Prepare securitization funding pools and coordinate the associated interest rate swap modeling and execution.
  • Contribute to ongoing analysis and implementation of investment opportunities.
  • Live the GreatAmerica principles; get involved in cross-functional team efforts as assigned and required.
  • Perform other duties as required.
Position Qualifications
Education
  • Candidate must be pursuing a bachelor's degree or graduate degree in Finance, Economics or related field with a minimum GPA of 3.25.
Experience
  • No previous work experience required, but prior internships or work in finance is considered a plus.
Skills and Abilities
  • Excellent analytical abilities and problem-solving skills.
  • Proficiency in Microsoft Excel and possess outstanding computer skills.
  • Strong interpersonal and communication skills to work with all levels of the organization.
  • Organized, creative, team-player with initiative.
  • Ability to respond well to challenges and have a strong desire to learn.
  • Ability to demonstratesound business judgment.
Computer Skills
  • Experience with Microsoft Excel, PowerPoint, Word. Experience with Tableau or Microsoft BI is a plus.
Competencies

For all GreatAmerica team members: Honesty/Integrity, Customer Oriented, Accountability, Tenacious, Communication Skills (Oral & Written), Adaptability

For this position: Analytical Skills, Financial Aptitude, Accuracy, Detail Oriented, Problem Solving, Judgment, Self-Confident

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