Job Description Summary
Responsible for developing and executing funding liquidity and exposure management strategies for the enterprise. Includes debt issuance alternative funding and investment management. Analyzes and manages the firms liquidity positions and risks to provide for both regulatory and operational demands. Aggregates exposures analyzes risks develops strategies to address and manages related trade addition responsible for treasury activities including cash management creditor relations and capital planning. Treasury is the primary interface with investors in the firms fixed income bonds and notes programs and with the firms bank network and other liquidity providers. Treasury staff also have responsibility for managing bank lines of credit and the control and movement of the firms cash and cash positions. Developing conceptual knowledge of professional discipline. May include support roles with specialized expertise or technical knowledge in broad area.
Job Description
Roles and Responsibilities
Responsible for delivery of Treasury Operations Services GE businesses across Payment execution cash operations bank documentation and electronic banking .
Applies general knowledge of business developed through education or past experience. Understands how work of own team contributes to the area.
Resolves issues using established procedures.
Consults People Leader or more senior team members for issues outside of defined parameters.
Collaborates with others to solve issues. For customer facing roles develops strong customer relationships and serves as the interface between customer and GE HealthCare.
Exchanges technical information asks questions and checks for understanding.
Handles simple data entry work requiring face value check and correction.
Required Qualifications
Experience in the Treasury
Fluent English
Intermediate Excel skills
SAP would be an advantage
Desired Characteristics
#LI-AO1
#LI-HYBRID
Additional Information
Relocation Assistance Provided: No
Required Experience:
IC
Job Description SummaryResponsible for developing and executing funding liquidity and exposure management strategies for the enterprise. Includes debt issuance alternative funding and investment management. Analyzes and manages the firms liquidity positions and risks to provide for both regulatory a...
Job Description Summary
Responsible for developing and executing funding liquidity and exposure management strategies for the enterprise. Includes debt issuance alternative funding and investment management. Analyzes and manages the firms liquidity positions and risks to provide for both regulatory and operational demands. Aggregates exposures analyzes risks develops strategies to address and manages related trade addition responsible for treasury activities including cash management creditor relations and capital planning. Treasury is the primary interface with investors in the firms fixed income bonds and notes programs and with the firms bank network and other liquidity providers. Treasury staff also have responsibility for managing bank lines of credit and the control and movement of the firms cash and cash positions. Developing conceptual knowledge of professional discipline. May include support roles with specialized expertise or technical knowledge in broad area.
Job Description
Roles and Responsibilities
Responsible for delivery of Treasury Operations Services GE businesses across Payment execution cash operations bank documentation and electronic banking .
Applies general knowledge of business developed through education or past experience. Understands how work of own team contributes to the area.
Resolves issues using established procedures.
Consults People Leader or more senior team members for issues outside of defined parameters.
Collaborates with others to solve issues. For customer facing roles develops strong customer relationships and serves as the interface between customer and GE HealthCare.
Exchanges technical information asks questions and checks for understanding.
Handles simple data entry work requiring face value check and correction.
Required Qualifications
Experience in the Treasury
Fluent English
Intermediate Excel skills
SAP would be an advantage
Desired Characteristics
#LI-AO1
#LI-HYBRID
Additional Information
Relocation Assistance Provided: No
Required Experience:
IC
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