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you ready to make a difference? Choose to work for one of the most
trusted companies in Kansas.
the health and well-being of Kansans.
idea of family first for all employees. Paid vacation and sick leave
with paid maternity and paternity available immediately upon hire
ongoing training and development programs.
and driven individuals in a work environment that promotes
flexibility.
in Kansas with over 80 years of commitment, compassion and
community.
workplace where everyone is valued and respected.
Benefits & Perks
Rewards package
Job Summary The Corporate Financial Analyst II supports monthly, quarterly, and ad
hoc reporting for internal and external stakeholders. Key
responsibilities include preparing annual budgets and monthly forecasts,
developing and reporting on operational and financial performance
metrics, communicating financial results to finance leadership,
divisional leaders and key stakeholders. This position collaborates with
Management, etc.) to support financial analysis and insight generation
for subsidiary executives.
conducting advanced forecasts, and delivering strategic insights to
support executive decision-making. This position plays a critical role
in providing strategic financial guidance and analysis to support data
driven decisions at the Line of Business and/or Subsidiary levels.
"This position is eligible to work hybrid or onsite in accordance with
our Telecommuting Policy. Applicants must reside in Kansas or Missouri
or be willing to relocate as a condition of employment."
What you'll do
and board exhibits.
financial models to provide strategic insights and support
high-level business decisions.
financial reports, including in-depth variance analysis and key
performance indicators.
corporate targets and budgets, identifying and addressing any
discrepancies.
science capabilities) to highlight trends, risks, leading
indicators, business statistics, and opportunities for improvement.
analysis and insights to support business, investment, and cash
planning decisions.
financial strategies focused on business growth/market presence and
margin improvement such as M&A support, product launches, market
entry, an process improvement efforts.
financial insights and recommendations.
critical financial information, ensuring alignment with overall
business objectives.
revenue forecasts, incorporating an understanding of actuarial
concepts for premium and claims projections, while enhancing
visibility and accuracy across the organization.
stakeholders, and board of directors.
advising on best practices.
required.
regulatory changes.
What you need
Bachelor's degree in Finance, Accounting, Economics, or a related field
Minimum of 2 years of relevant
experience in financial analysis or
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