This position is responsible for managing and overseeing the company’s cash flow, corporate investing and borrowing, electronic payment initiation, banking relationships, account balance monitoring, review of bank statement reconciliations, and credit line activities. The role involves managing daily banking activities, ensuring high-quality cash management services from banks, and managing daily/weekly borrowing needs and investment of surplus cash for various accounts. The analyst will oversee and initiate electronic funds transfer activities, manage and submit wires and electronic payments, and perform payment auto-matches. Responsibilities also include managing the Commercial Paper Program, determining daily cash needs, managing the cash forecasting process, monitoring security deposit transfers and investment activity, and initiating the weekly inter-company reimbursement process. Additionally, the role involves reviewing bank reconciliations, establishing and closing bank accounts, coordinating transfer activity for financial transactions, maintaining and distributing the Floating Loan Report, reviewing bank analyses, monitoring bank fees, producing cash analysis, and managing bank web-enabled products. The position also entails implementing and reviewing operational controls, policies, and procedures related to treasury and Sarbanes Oxley, preparing annual SOC 1, Type II analysis, and maintaining the Cash Management Procedures Manual. Special projects as assigned are also part of the role.
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
Senior