First for a reason: At First Student, we are a family of 60,000+ employees who take pride in safely transporting more than 5 million students and passengers to and from their destinations each day! Our family of brands include Transco, Total Transportation, Maggies Paratransit, and GVC II. Our employees are at the forefront of safety and innovation; they create and implement the most advanced training and technology the transportation industry has to offer. Supports daily cash management activities to ensure adequate liquidity. May include liquidity projections, bank-related project management, treasury operations, bank relationship management, cash accounting, short-term investment and payments. $17.00/hr Job Description Major Responsibilities Supports daily cash process. Reviews cash management transactions. Determines company's cash position and daily cash available for investment. Executes wire transfers and other funds movement as necessary. Assists with cash forecasting by providing cash actuals for the prior week. Projects current day cash projections. Provides guidance with timely resolution of cash issues and inquiries. Serves as security administrator and subject matter expert for bank provided software. Performs bank-related project management. Maintains bank account structure and services. Maintains internal treasury tools/systems used for everyday cash management processes (spreadsheets, web security administration, etc). Provides guidance and training to staff for bank/treasury systems. Performs foreign currency exchanges. Oversees maintenance of treasury files and spreadsheets. Implements treasury workstation. Performs periodic bank fee analysis. Processes miscellaneous deposit items for corporate bank accounts. Obtains certified checks. Minimum Education or Certifications Required Preferred Bachelor's Degree (or equivalent) in Accounting or Finance CTP Minimum Experience or Skills Required 1-3 years of relevant work experience Knowledge of cash management products Thorough understanding of processes and payment instruments of US financial institutions Treasury workstation and bank software experience a plus Excellent oral, written, presentation, and relational communication skills; fluent in English Strong organizational and time management skills Strong attention to detail and accuracy Physical Requirements and Working Conditions Incumbent must be able to move about the office and between floors; utilize standard office equipment; access filing system/cabinets; and communicate effectively and efficiently in person or by telephone. Disclaimer Nothing in this job description restricts management's right to assign or reassign duties and responsibilities to this job at any time. This job description reflects management's assignment of essential functions, it does not prescribe or restrict the tasks that may be assigned.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Entry Level
Number of Employees
501-1,000 employees