
About Oscar
Revolutionizing healthcare through technology and design
Key Highlights
- Public company (NYSE: OSCR) since March 2021
- Over 500,000 members across the United States
- $1.5B+ raised from top investors like Founders Fund and Alphabet
- Headquartered in New York City with a focus on telemedicine
Oscar Health, founded in 2012 and headquartered in New York City, is a health insurance company that leverages technology to improve the consumer experience in healthcare. With over 500,000 members and partnerships with leading healthcare providers, Oscar offers innovative plans that include telemed...
🎁 Benefits
Oscar provides competitive salaries, equity options, comprehensive health benefits, unlimited PTO, and a flexible remote work policy to support work-l...
🌟 Culture
Oscar fosters a culture centered around transparency and collaboration, encouraging employees to challenge the status quo in healthcare. The company v...
Overview
Oscar is hiring a Treasury Manager to oversee critical treasury operations and daily liquidity management. You'll be responsible for cash management strategies in a capital-intensive insurance environment. This role requires a deep operational understanding of Treasury practices.
Job Description
Who you are
You have a strong background in treasury operations and cash management, with a focus on optimizing liquidity across subsidiaries. Your experience in a capital-intensive environment has equipped you with the skills to drive operational efficiencies in banking and treasury systems. You are comfortable working independently and have a proven track record of managing daily cash activities effectively. You understand the importance of being a critical partner to the Treasury organization and are ready to contribute to the execution of cash management strategies. You possess excellent analytical skills and can recommend and monitor minimum cash balances to ensure optimal cash usage.
What you'll do
As the Treasury Manager, you will be responsible for managing Oscar Health's treasury operations, ensuring that daily liquidity is maintained and optimized. You will execute cash management activities and work closely with the Senior Director, Assistant Treasurer, to drive cash management strategies. Your role will involve analyzing cash flow and liquidity needs, making recommendations for cash reserves, and ensuring that operational efficiencies are achieved in treasury systems. You will also collaborate with various departments to align treasury operations with the overall financial strategy of the company.
What we offer
Oscar provides a competitive salary range of $97,200 - $127,575 per year, along with employee benefits and participation in an unlimited vacation program. You will have the opportunity to work remotely while being part of a company that values innovation and a member-focused approach to health insurance. We encourage you to apply even if your experience doesn't match every requirement, as we believe in the potential of diverse backgrounds and perspectives.
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