South Jersey Industries (SJI) is seeking a Treasury Specialist Associate to support the companys corporate cash management and treasury operations. The ideal candidate will have strong analytical skills attention to detail and the ability to operate effectively in a fast-paced deadline-driven environment.
Daily Cash Management
Evaluate and determine daily cash management needs for SJI and its subsidiaries.
Cash Flow & Borrowing Analysis
Analyze financial data to project near-term cash flows and short-term borrowing requirements.
Bank Reconciliations
Reconcile monthly bank service charge billings and interest charges.
Prepare memo bills to ensure proper recording and payment for SJI and its subsidiaries.
Bank Records Verification
Verify monthly records of borrowing and investment activity with banking partners.
Bank Relations Support
Communicate with bank representatives to resolve issues regarding payments interest rates account establishment bank charges and related matters.
Additional Treasury Support
Perform other cash management-related tasks as needed to support treasury operations.
Bachelors degree in Finance Accounting or equivalent work experience.
1-3 years of professional experience in corporate cash management or treasury services.
Strong proficiency with PC-based applications (e.g. Excel financial software).
Ability to work effectively in a fast-paced deadline-driven environment.
Strong analytical communication and problem-solving skills.
Cash Management
Treasury Operations
Financial Analysis
Bank Reconciliation
Attention to Detail
Problem Solving
Excel & PC Applications
Required Skills:
Cash ManagementTreasury OperationsBank Reconciliation