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Treasury Analyst - Corporate

TER Consulting Group

Job Description

Job Description

US citizen or Green card a must-    Candidates looking for Visa transfers cannot be considered!

Must live a commutable distance for Corporate Headquarters. 

No relocation offered or expenses to interview.. will be offered! 

Must be able to pass drug and background check

Experience: 2-4 + years in Corporate Treasury ..

The client will not sponsor or relocate candidates!

Our client  wants to hire an experienced Treasury Analyst for the corporate finance department. The Treasury Analyst will support all aspects of the company’s worldwide treasury operations, including building, monitoring, and managing the efficient utilization of cash, bank accounts, and financial services for domestic and international operations within the Company objectives. The Treasury Analyst will work closely with internal parties such as business units, accounting (GL, AR, AP, Collections, etc.), finance, and tax, as well as with our global external financial institutions and auditors.

Responsibilities

• Manage all cash management functions, including cash concentrations, wires, and account funding. Ensure adequate liquidity for working capital needs and invest excess cash. Manage inter-company cash, including inter-company lending and capital injections.

• Establishing and managing our hedging and swap activities and our investment portfolio through third-party advisors and institutions, as well as supporting our senior debt facility activity and compliance.

• Cash flow modeling and forecasting.

• Assessment and development of all cash disbursement reporting.

• Coordinate, monitor, and release worldwide payments.

• Administer multiple worldwide online banking platforms.

• Prepare and monitor letters of credit, performance and bid bonds.

• Prepare FX currency hedge forecasts, execute FX trades and manage FX drawdowns.

• Support shares repurchase program.

• Maintain a worldwide bank account database and open, track, close, and maintain compliance for both domestic and international bank accounts.

• Manage Oracle-Bank cash reconciliation processes, coordinating with AP, AR, and Payroll

• Support international KYC process and documentation requirements.

• Identify and drive process improvements.

• Ensure accurate and timely production of internal management reporting and analyses.

 

Requirements:

• Bachelor’s degree in finance or accounting

• 2-4 years of experience in Treasury and Finance functions

• Both domestic and international treasury experience preferred

• Public company experience preferred.

• General knowledge of GAAP and SEC reporting requirements related to treasury activities

Knowledge of treasury software and experience with online banking platforms

• Advanced spreadsheet and modeling skills

• Excellent collaboration, verbal, and written communication skills.

• Self-motivated to seek out answers, generate ideas, develop new skills, and drive process improvements.

• Attention to detail and accuracy.

• Strong project management skills

• Ability to adapt to change quickly and manage multiple priorities and service providers

• Proactive person who works independently and can set and meet aggressive deadlines

Competitive Salary 10% annual bonus and RSU's and excellent benefits package.

 

\nCompany Description

Highly successful publicly traded and company carries no debt!
Excellent reputation!

Company Description

Highly successful publicly traded and company carries no debt!\nExcellent reputation!

Vacancy posted 3 days ago
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