The Junior Treasury Analyst will support the treasury team and report to the VP of Treasury to ensure optimal cash management for the Group. You will help determine short-and-long-term cash and capital needs and prepare weekly and monthly presentations for senior leadership. The position will require a strong desire to learn and will also involve operations of the firms debt facilities and reconciling month-end balances. The individual will have the opportunity to partner with teams across the organization to ensure accurate inputs to Treasury models and to acquire relevant information for Treasury reporting to senior leaders.
Responsibilities:
Support all aspects of cash operations including administration of funds monitoring/initiating transactions and cash positioning
Review and resolve cash management issues in a timely manner and in accordance with internal policies
Generate the daily/weekly/monthly cash forecast report(s) and variance explanations for management review
Monitor bank service fees and reporting to management
Process all requests for outgoing payments (i.e. wires ACHs and checks)
Create/modify payment templates for approval
Back-up cash receipts/cash application function as necessary
Provide support for audit requests
Contribute to treasury projects related to bank account management and process improvement
Other duties as assigned
Monitor daily cash events and prepare daily cash position to review with the Treasurer
Assist the Treasury team with the preparation of presentation materials as needed
Partner with teams across the organization to ensure accurate inputs to treasury models and reporting
Qualifications:
Bachelors degree in finance or related field
Experience in Finance or direct Treasury preferred
Proficient in Microsoft Excel
Detail oriented focused with attention to accuracy and a responsible team worker
Ability to handle multiple tasks and take on additional responsibilities
Willingness to grow
Ability to communicate and interact internally and externally
Ability to work in the office 5 days a week
Employee Programs & Benefits:
Comprehensive medical dental vision and life insurance benefits
Commuter benefits
Flexible Spending Accounts
Health Saving Account
401(k) plan with company match
Short- and long-term disability
Tuition reimbursement
Paid time off for vacation personal and sick time
We are an equal-opportunity employer. Our team consists of professionals with diverse backgrounds and skill sets all of which contribute to the efficacy and profitability of our operations. We take pride in our contributions in aiding developing economies reducing carbon emissions and in building towards a more progressive and equitable future.
Required Experience:
Junior IC
Position Summary:The Junior Treasury Analyst will support the treasury team and report to the VP of Treasury to ensure optimal cash management for the Group. You will help determine short-and-long-term cash and capital needs and prepare weekly and monthly presentations for senior leadership. The pos...
Position Summary:
The Junior Treasury Analyst will support the treasury team and report to the VP of Treasury to ensure optimal cash management for the Group. You will help determine short-and-long-term cash and capital needs and prepare weekly and monthly presentations for senior leadership. The position will require a strong desire to learn and will also involve operations of the firms debt facilities and reconciling month-end balances. The individual will have the opportunity to partner with teams across the organization to ensure accurate inputs to Treasury models and to acquire relevant information for Treasury reporting to senior leaders.
Responsibilities:
Support all aspects of cash operations including administration of funds monitoring/initiating transactions and cash positioning
Review and resolve cash management issues in a timely manner and in accordance with internal policies
Generate the daily/weekly/monthly cash forecast report(s) and variance explanations for management review
Monitor bank service fees and reporting to management
Process all requests for outgoing payments (i.e. wires ACHs and checks)
Create/modify payment templates for approval
Back-up cash receipts/cash application function as necessary
Provide support for audit requests
Contribute to treasury projects related to bank account management and process improvement
Other duties as assigned
Monitor daily cash events and prepare daily cash position to review with the Treasurer
Assist the Treasury team with the preparation of presentation materials as needed
Partner with teams across the organization to ensure accurate inputs to treasury models and reporting
Qualifications:
Bachelors degree in finance or related field
Experience in Finance or direct Treasury preferred
Proficient in Microsoft Excel
Detail oriented focused with attention to accuracy and a responsible team worker
Ability to handle multiple tasks and take on additional responsibilities
Willingness to grow
Ability to communicate and interact internally and externally
Ability to work in the office 5 days a week
Employee Programs & Benefits:
Comprehensive medical dental vision and life insurance benefits
Commuter benefits
Flexible Spending Accounts
Health Saving Account
401(k) plan with company match
Short- and long-term disability
Tuition reimbursement
Paid time off for vacation personal and sick time
We are an equal-opportunity employer. Our team consists of professionals with diverse backgrounds and skill sets all of which contribute to the efficacy and profitability of our operations. We take pride in our contributions in aiding developing economies reducing carbon emissions and in building towards a more progressive and equitable future.