Senior Treasury Analyst
Rand Worldwide
Job Type
Full-time
- Own daily global cash positioning and liquidity monitoring across domestic and international entities, escalating exceptions to the VP & Controller/CFO.
- Execute cash movement between legal entities in line with established regulatory, tax, and internal-control guidelines.
- Own domestic and international wire activity and treasury payment workflows.
- Maintain day-to-day banking relationships and support new banking initiatives, account openings, and service changes.
- Own bank account administration, authorized-signer updates, and online banking platform user access.
- Maintain treasury management systems and banking portals, including JPMorgan Chase, HSBC, and other financial institutions.
- Own preparation of daily, weekly, and monthly borrowing base certificates and related collateral reporting.
- Monitor borrowing availability and liquidity under multiple ABL facilities, flagging issues to the VP & Controller/CFO.
- Ensure compliance with credit agreements, reporting requirements, and borrowing base eligibility rules.
- Own collateral reporting for accounts receivable, inventory, cash, and foreign collateral
- Monitor reserves, concentration limits, advance rates, and ineligible collateral.
- Support lender field examinations, collateral audits, and third-party diligence requests.
- Coordinate responses to banks, auditors, and third-party collateral examiners.
- Monitor compliance with financial covenants, reporting deadlines, and other credit agreement requirements.
- Own and maintain the lender reporting and compliance calendar.
- Coordinate periodic reporting required under credit agreements and banking arrangements.
- Assist with amendments, renewals, refinancing, and new financing arrangements as needed.
- Track covenant calculations, reporting exceptions, and early-warning indicators, raising concerns to the VP & Controller/CFO.
- Own the development and maintenance of a rolling 13-week cash forecast.
- Prepare monthly and quarterly liquidity forecasts and scenario analysis.
- Analyze cash-flow drivers and recommend short-term funding needs, with final decisions made in partnership with the VP & Controller/CFO.
- Monitor working-capital requirements and significant transaction-related cash needs.
- Own monitoring of accounts receivable collections and related borrowing base impacts.
- Analyze inventory levels, aging, eligibility, and liquidity implications.
- Coordinate with Sales and Operations on large transactions that affect liquidity or collateral availability.
- Support initiatives to improve the cash conversion cycle and working-capital efficiency.
- Analyze borrowing costs, interest expense, bank fees, and facility utilization.
- Prepare treasury reporting packages and liquidity updates for management.
- Evaluate banking products, treasury services, and process-improvement opportunities, recommending changes to the VP & Controller/CFO.
- Support foreign exchange exposure monitoring and international cash-management analysis.
- Maintain treasury policies, procedures, and desktop instructions.
- Uphold segregation of duties and access controls across treasury activities.
- Support internal-control, audit, and compliance requirements.
- Identify and recommend opportunities for treasury automation, standardization, and reporting improvements.
- Support treasury-related system implementations and banking integrations.
- Assist with ERP integrations affecting cash, payments, and treasury reporting.
- Participate in banking transitions, refinancing projects, and lender onboarding.
- Support acquisitions, legal-entity expansion, and international growth initiatives as needed.
- Bachelor's degree in finance, Accounting, Economics, or a related field.
- 4-6 years of treasury, banking, corporate finance, or ABL experience.
- Solid working knowledge of asset-based lending, borrowing base reporting, working-capital management, cash forecasting, and banking operations.
- Strong Excel and financial modeling skills.
- Demonstrated ability to independently own recurring deliverables, manage multiple deadlines, and maintain banking relationships and compliance obligations.
- Strong analytical, organizational, communication, and cross-functional partnership skills.
- Progress toward CTP (Certified Treasury Professional), CFA, or CPA designation.
- Exposure to multi-entity global treasury operations and international banking relationships.
- Experience supporting ABL facilities.
- Experience with Microsoft Dynamics 365 or comparable ERP platforms.
- Familiarity with JPMorgan Chase, HSBC, or similar global banking platforms.
- Exposure to foreign exchange and international cash-management activities.
- Experience in electronics distribution, wholesale, manufacturing, or another inventory-intensive industry.
Vacancy posted 3 days ago
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