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Par Health
Pennsylvania - Malvern - Hybrid
Source: Par Health careers · View original posting
From Par Health's posting. “We” and “our” refer to the employer.
Why Us?
At Par Health, we believe great healthcare is built on getting the essentials right. We’re looking for passionate, talented individuals who share our commitment to improving lives. With a global workforce, we lead with pride and purpose—prioritizing quality and safety while fostering a culture of continuous improvement, accountability, and teamwork. Elevating the Essentials isn’t just our tagline, it’s the higher standard we live by every day.
Job Description Summary
The primary focus is to support Treasury Planning, Analysis & Operations on a daily basis by supporting any Corporate Finance activities. This role also supports cash administration and processes related to corporate insurance programs. Incumbent will enhance business decisions through financial modeling, risk/opportunity analysis, and standard or ad hoc financial analyses.
Job Description
Cash Management / Bank Account Administration
Manages and maintains the Company’s banking infrastructure, including bank relationships and bank account administration.
Manages the Company’s cash and investment activities to ensure sufficient liquidity on an entity level.
Assesses products, services, and systems that are available in the marketplace to maintain cash management efficiencies and best-in-class transactional processing.
Insurance
Ensures proper tracking of all outstanding insurance policies and allocation of costs to corporate/subsidiaries in coordination with the VP, Corporate Development & Treasurer.
Maintains a periodic reconciliation of insurance costs cross the company.
Supports the data gathering for annual insurance renewals
Projects
Supports ongoing project-related work, including providing support to the team for capital markets transactions (debt, equity and credit), new financings and acquisition-related work.
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