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Finance and Treasury Analyst

Davita Inc.

Kansas City (MO)

Hybrid

USD 64,000 - 81,000

Full time

15 days ago

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Job summary

A leading company's Finance & Treasury department is looking for a Finance & Treasury Analyst in Kansas City. The successful candidate will manage cash operations, assist with capital issuance, and provide analytical support for financial strategies. Ideal applicants will hold a Bachelor's degree in Finance or a related field with relevant experience, and possess strong analytical skills and proficiency in Excel.

Benefits

Hybrid work options
Competitive salary
Career development opportunities

Qualifications

  • 2+ years in treasury, banking, or capital markets.
  • Excellent analytical and problem-solving skills.
  • Advanced proficiency with Excel functions.

Responsibilities

  • Manage daily cash positioning and forecasting.
  • Assist with debt and equity capital issuance.
  • Prepare and distribute financial reports.

Skills

Analytical skills
Problem-solving skills
Proficiency in Excel
Understanding of financial principles

Education

Bachelor's degree in Finance
Bachelor's degree in Accounting
Bachelor's degree in Economics
Bachelor's degree in Mathematics

Job description

SUMMARY OF JOB RESPONSIBILITIES AND REQUIREMENTS


JOB TITLE: Finance & Treasury Analyst

REQUISITION: FIN000P

DEPARTMENT: Finance & Treasury - KC Headquarters

LOCATION: Kansas City, MO

PAY RANGE: Treasury Analyst II: $64,500 - $80,600

Sr Treasury Analyst: $72,900 - $97,200

Lead Treasury Analyst: $86,000- $114,700



Scheduled Work Hours: Core hours are Monday - Friday, 7:00 a.m. to 4:00 p.m.

Expectations are for in-office attendance Tuesday -Thursday with Monday & Friday optional remote.


Summary of Primary Duties and Responsibilities:

The successful candidate will be part of a team that is responsible for cash management and banking operations, debt and equity financing, debt compliance administration, and investment portfolio oversight. Opportunities for this person include direct exposure to all aspects of treasury operations, capital markets, corporate finance and leading investment banks, financial planning, and credit rating agencies. This team works with numerous departments and external partners on a regular basis, such as accounting, accounts payable, accounts receivable, legal, external reporting, financial planning, investor relations, IT, regulatory, supply chain, generation development, risk management, investment management, audit, etc.


Responsibilities will include daily cash positioning, cash forecasting, commercial paper trading, bank account administration, accounting for cash activity, debt and equity capital markets participation, debt compliance, investment value testing, regulatory interface, SEC reporting support, and monthly accounting close activities. Other duties include participation in the financial analysis and decision support processes and the creation of presentations for senior management.


Essential Responsibilities and Duties

* Manage the daily cash position using a Treasury Management System (TMS) and bank portals.

* Assist with the issuance of debt and equity capital through coordination of banks, trustees and legal counsel.

* Prepare and distribute reports for our Accounts Receivable securitization program.

* Initiate and manage electronic funds transfer activity.

* Prepare cash forecasts and manage letters of credit.

* Communicate with commercial paper dealers and place commercial paper in support of daily liquidity requirements.

* Perform required accounting entries, record keeping and reconciliation of cash balances to general ledger accounts.

* Track, initiate and confirm payments on bonds; ensure timely and accurate filing of compliance documents.

* Perform financial analytics, including the creation and modification of models for business cases, financial forecasting, refinancing opportunities and various other company projects and regulatory initiatives as needed.

* Perform monthly reporting on the Company's long-term debt outstanding, short-term interest rates, and variable rate securities.

* Complete ad-hoc corporate treasury and finance projects.

Education and Experience Requirements:
Bachelor's degree in Finance, Accounting, Economics or Mathematics. 2+ years treasury, banking or capital markets experience or related experience in financial analysis or accounting functions.


Skills, Knowledge and Abilities:
* Understanding of accounting and financial principles and a solid working knowledge of financial statements.
* Exceptional analytical and problem-solving skills including application of technical reading and data insights.
* Proficient with Excel (i.e., advanced lookup functions, pivot tables, IF statements).
* Confidence to conduct research with internal and external partners and then assimilate that information to make recommendations or decisions.
* Ability to plan, to manage changing priorities, and to multi-task.
* Ability to write reports, business correspondence, and procedures.
* Understanding of payment methods and treasury services.
* Understanding of short-term and long-term debt instruments and risk reduction methods.


Licenses, Certifications, Bonding, and/or Testing Required:
* Certified Treasury Professional (CTP) certification preferred
* Certified Professional Accountant (CPA) certification preferred
* Chartered Financial Analyst (CFA) certification preferred


Working Conditions:
Normal office working environment with some hybrid, work-from-home accommodations. May be required to work irregular hours when necessary to support special projects.


Evergy has a clear mission - To empower a better future. Evergy chooses to live this mission by valuing People First. We know that to lead the responsible energy transition and provide affordable, reliable, and sustainable service to our customers and communities, we need a team with a variety of backgrounds, perspectives and skills. We are committed to building a team where everyone - regardless of race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status - has a voice and can bring their best every day. Evergy is proud to be an equal opportunity workplace and is an affirmative action employer.

Disclaimer: The above information has been designed to indicate the general nature and level of work performed by employees within this classification. It is not designed to contain or be interpreted as a comprehensive inventory of all duties, responsibilities, and qualifications required of employees assigned to this job.
Work Locations:
1KC - Missouri HQ - Floor 28
One Kansas City Place1200 Main St
Kansas City64105
Job:Corp Planning & Treasurer
Shift:
Unposting Date:Jun 17, 2025
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