Treasury Analyst
$53k - $69.3kLennox
Who We Are Lennox (NYSE: LII) Driven by 130 years of legacy, HVAC and refrigeration success, Lennox provides our residential and commercial customers with industry-leading climate-control solutions. At Lennox, we win as a team, aiming for excellence and delivering innovative, sustainable products and services. Our culture guides us and creates a workplace where all employees feel heard and welcomed. Lennox is a global community that values each team member's contributions and offers a supportive environment for career development. Come, stay, and grow with us. What Drives Success Under direct superivsion, responsible for financial planning and analysis to forecast budgets and financial status. WHAT YOU'LL BE DOING:
Disclaimers: The compensation and benefits information is accurate as of the date of this posting. Lennox reserves the right to modify this information at any time, with or without notice, subject to applicable law. We may use automated tools, including artificial intelligence, to support parts of our hiring process, such as application review and interview scheduling. These tools assist our teams but do not replace human decision-making. If you need an accommodation or have questions, please contact View email address on click.appcast.io.
- Perform daily cash balancing and reconciliation of prior-day bank activity.
- Prepare daily cash position and borrowing recommendations to support funding decisions.
- Meet critical daily deadlines, including commercial paper funding activities by 9:30 AM and other funding by 11:00 AM.
- Maintain daily cash worksheets and ensure internal cash workbooks reconcile to bank balances.
- Process wire transfers and payment requests, including review of supporting documentation and verification of payment instructions.
- Monitor and manage the Treasury inbox, responding to requests and tracking items through completion.
- Reconcile and manage Canadian / International cash balances and related banking activity.
- Prepare and distribute daily cash reports and cash forecasts to Treasury leadership and business stakeholders.
- Support internal and external audit requests, including SOX control testing.
- Bachelor of Finance or Accounting
- Treasury, cash management, or banking experience preferred.
- Strong Excel skills and experience with reconciliations in large workbooks.
- Highly detail-oriented with a strong focus on accuracy.
- Able to work independently, manage competing priorities, and meet critical daily deadlines.
- High level of integrity and ownership when handling large banking transactions.
- Reliable and available during morning office hours to support cash management activities.
Disclaimers: The compensation and benefits information is accurate as of the date of this posting. Lennox reserves the right to modify this information at any time, with or without notice, subject to applicable law. We may use automated tools, including artificial intelligence, to support parts of our hiring process, such as application review and interview scheduling. These tools assist our teams but do not replace human decision-making. If you need an accommodation or have questions, please contact View email address on click.appcast.io.
Vacancy posted 2 days ago
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