Financial Analyst I

The MasTec CompaniesBlue Bell, PA
3d

About The Position

Henkels & McCoy, Inc. (H&M) is a leading utility construction firm providing critical infrastructure for the power, oil & gas pipeline, telecommunications, and gas distribution markets throughout North America. Founded in 1923, the firm adapts a century of experience to the dynamic infrastructure needs of today. H&M leverages the collective strength of its diverse disciplines to create seamless integrations between projects, clients, team members, and communities. The company has been recognized with an E. I. DuPont Safety Excellence Award. H&M is a purpose-driven company. Our core values guide our strategy, performance, and culture. We believe in maintaining an environment where team members can make an impact, grow, and thrive. A place where they find meaning and purpose in doing the important work of ensuring communities have the vital energy, light, and communications to prosper. Our culture is inclusive and welcoming. Our teams are empowered with abundant training, tools, and opportunities to follow their curiosity and ambitions. Everyone has an equal chance to advance. Everyone is supported, respected, and challenged to be their best. We’re always looking for talented and dedicated people to join us and love where they work. Henkels & McCoy is a proud subsidiary of MasTec (NYSE: MTZ), a Fortune 500 Company ranked by Engineering News-Record as one of the leading contractors in the country. H&M is part of the MasTec Power Delivery segment. We are certified as a minority-controlled company by the National Minority Suppliers Development Council (NMSDC). Our rich diversity of people and ideas makes us a stronger, more innovative organization. We are seeking a motivated Treasury / Finance Analyst to join the Henkels & McCoy Shared Services organization, contributing to a team of innovators, collaborators, and problem solvers. In this role, you will play a key part in strengthening the company’s financial position by implementing leading cash‑management practices, optimizing liquidity, and driving actionable insights through high‑quality analysis. As the Treasury Analyst, you will support daily treasury operations, enhance forecasting, and provide data‑driven recommendations that influence business decisions across the enterprise. This role is ideal for someone who is energized by solving complex financial challenges, passionate about data, and eager to create measurable impact. Success in this position requires strong analytical skills, intellectual curiosity, and a results‑oriented mindset.

Requirements

  • Bachelor’s degree in Finance, Accounting, or related discipline
  • Strong analytical, quantitative, and problem-solving skills.
  • Proficiency with Microsoft Office Suite or Office 365; including advanced Excel skills (spreadsheet creation/editing, pivot tables, graphs, data manipulation/analysis and formula creation)
  • Familiarity with JD Edwards, Oracle Fusion, or other ERP systems and financial reporting tools
  • Attention to detail and commitment to produce accurate, reliable work
  • Ability to thrive in a fast-paced, dynamic environment
  • Live Our Core Values: Safety : Make safety part of every discussion; Proactively identify and address risks; Share lessons learned; Take care of those in need Integrity : Transparent and respectful communication; Execute based on standards & policies; Deliver on commitments and stand firmly on what is right and wrong Service : Actively listen & respond with care; Treat every interaction as an opportunity; Consistent, high-quality deliverables; Anticipate needs & solving problems Teamwork : Collaborate with purpose and respect; Share knowledge to strengthen the whole; Communicate openly and constructively; Celebrate wins—big and small—together Growth : Embrace change as an opportunity; Challenge the status quo with curiosity and courage; Learn from experience and apply it forward; Take initiative to improve how we execute

Nice To Haves

  • Knowledge and experience with Power BI a plus

Responsibilities

  • Treasury Operations
  • Monitor daily cash balances and transactions to optimize liquidity
  • Execute cash movements including wire transfers, and payments
  • Maintain short term cash forecast to anticipate funding needs
  • Prepare documentation for Surety Bonds and Borrowing Notices
  • Assist with audits by providing documentation and explanations of business activity
  • Deliver weekly and monthly reporting package detailing cash activity
  • Identify opportunities to streamline existing treasury processes
  • Finance & Analytical Support
  • Partner with project teams to understand billing schedules, and collection timelines
  • Support monthly and quarterly financial reporting with variance analysis, trend analysis, and performance insights
  • Analyze working capital metrics—such as DSO, billing delays, and retention —to identify risks and improvement opportunities
  • Provide financial modeling and scenario analysis to support planning, budgeting, and strategic initiatives
  • Prepare dashboards and presentations for Finance leadership related to cash, liquidity, and project performance
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