Treasury Analyst II, Corp Fin Job in Columbus

Treasury Analyst II, Corp Fin

Company:  Aflac Incorporated

Location:  Columbus, GA, US, 31999

The Division:  CFO & Treasury

Experience: 3 + Years

Job Id:  2756

Opportunity: Aflac D&V Sr Full Stack Engineer

Grade: 011

Recruiter: Jeffrey Mann


Job Description

Treasury Analyst II, Corp Fin


As part of Aflac’s Global Treasury team, applies finance principles to analysis and modeling of the Company’s capital structure, financings, foreign exchange activity, short-term investments, credit profile, and a variety of corporate finance topics. Analysts will be a key partner in assisting senior management to make informed corporate finance decisions in the context of the Company’s objectives and risk management framework.


Principal Duties & Responsibilities


  • Assists treasury leaders in developing material for various senior management committee meetings and presentations
  • Collaborates with the Treasury team, and a range of internal business partners, including Enterprise Risk Management, Accounting, Financial Reporting, and Tax
  • Assists in debt raising and credit facility analysis and execution, including terms, due diligence, internal communication, and related activities
  • Provides support for holding company foreign exchange derivative program and short-term investment management
  • Creates, prepares, and maintains reports for Treasury
  • Performs independent analysis in various corporate finance-related areas including leverage ratios, intrinsic value, share repurchase return, the weighted average cost of capital, and other items, as needed • Analyzes sensitivities of capital structure, other ratios, and cash balances to changes in the FX rate and other market inputs
  • Develops and maintains financial models and reports for analysis of various Treasury and Corporate Finance projects
  • Performs other related duties as required


Education & Experience Required


  • Minimum Required Bachelor’s Degree in Finance, Accounting, Economics, Business Administration or a related field
  • Minimum Required three years of professional job-related work experience in treasury, banking, or corporate finance


Or an equivalent combination of education and experience.


Job Knowledge & Skills


  • High proficiency in Microsoft Office (Excel, PowerPoint)
  • Advanced Excel modeling experience preferred
  • Ability to communicate results to senior management effectively
  • Detail-oriented with a focus on accuracy
  • Excellent written and verbal communication, and interpersonal skills
  • Strong analytical and problem-solving skills




  • Acting with Integrity
  • Communicating Effectively
  • Pursuing Self-Development
  • Serving Customers
  • Supporting Change
  • Supporting Organizational Goals
  • Working with Diverse Populations


Working Conditions

The statements below describe the general nature and level of the work and are not an exhaustive list of all responsibilities, duties, and skills required.

Normal office environment (virtual or in-person)


≤ 10%

Career Progression Acknowledgement

Normal Career Progression – This is a normal career progression (NCP) position and incumbent may progress to the next level in the job family without further competition when there is an existing business need, qualifications identified in the job profile are met, advancement recommended by management, with human resources approval, and in accordance with company guidelines.

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