Sr. Finance Specialist

FNS, INCDuluth, GA
1d

About The Position

Since its inception in 1995, FNS has been focused on providing the best total logistics services by implementing our core values: trust, communication, team play, challenge, and balance. Through trust, we can be a logistics partner that customers trust with a diverse group that works together based on a strong, unified belief. By communicating with and accommodating the voices of customers and co-workers we can deliver the best services. Our team play is enhanced by the appreciation and cooperation with each other with a focus on a singular goal. Challenging the status quo and innovating, FNS is unafraid of failure and strives to develop and improve our processes. Work-life balance strives to provide individuals with happiness to achieve and grow together. For 2025, we have set out to become one of the nation’s top 25 logistics companies with more than $1,500M in sales, with the best employee and customer satisfaction, and a network of over 100 different partners. To achieve our goals, there is an emphasis on three traits of work. We promote a family-like working environments allow us to help promote every member’s work-life balance, allowing us to develop cooperation and care for one another like family. We are nominated by our customers whom we can grow with based on a trusting relationship between our services and our customers. We specialize fields of work where professionals can nurture their talent, and we focus on every member’s work-life balance so that members may cooperate and care for each other like family. Our core values are integral to the success and growth of FNS. To Discover more, please visit our website at http://www.fnsusa.com

Requirements

  • Bachelor’s degree in Accounting, Finance, Business Administration, Economics, or related field required
  • Minimum 3–5 years of progressively responsible experience in treasury, finance, or corporate banking
  • Strong understanding of corporate treasury operations, cash management, and financial controls
  • Advanced analytical, problem-solving, and planning skills
  • Ability to manage multiple priorities in a deadline-driven environment
  • Strong communication skills with the ability to interact effectively with banks, auditors, and senior management
  • High level of integrity, attention to detail, and ownership mindset
  • Proficient in Microsoft Excel, PowerPoint, and other MS Office tools
  • Korean/English bilingual

Nice To Haves

  • Prior experience managing bank relationships, credit facilities, and cash forecasting strongly preferred
  • ERP system experience preferred

Responsibilities

  • Oversee and monitor cash management processes, ensuring accuracy and completeness of daily and monthly cash reporting
  • Manage and maintain cash flow forecasting models, monitoring liquidity needs, bank balances, and funding requirements
  • Maintain and optimize banking relationships, identifying opportunities to improve bank services, pricing, and cash efficiency
  • Administer and monitor credit facilities, including revolving credit lines, letters of credit, and borrowing availability
  • Ensure compliance with bank credit agreements, covenants, and reporting requirements
  • Maintain debt schedules and related reporting for internal management and external stakeholders
  • Track and report on operating and capital leases, ensuring proper accounting treatment and disclosure
  • Oversee collateral reporting, bank exams, and periodic appraisals in coordination with lenders
  • Support financing activities and working capital improvement initiatives, including refinancing or structure optimization
  • Oversee treasury-related general ledger activities, ensuring accurate recording of receipts, payments, and intercompany transactions
  • Manage intercompany cash movements, borrowing processes, documentation, and reconciliations
  • Prepare and review month-end treasury reports and support the financial close process
  • Investigate and resolve bank, payment, and treasury system issues, including fraud prevention and risk mitigation
  • Ensure treasury operations comply with internal policies, accounting standards, and internal controls
  • Act as primary treasury contact for internal and external audits, bank exams, and lender reviews
  • Prepare supporting schedules, documentation, and explanations for auditors, banks, and regulators
  • Prepare management and lender presentations, including liquidity position, debt metrics, and cash flow analysis
  • Support executive management with treasury-related analysis and ad hoc reporting
  • Partner with accounting, operations, tax, and FP&A teams to align treasury activities with broader financial objectives
  • Recommend and support the execution of treasury process improvements and system enhancements
  • Provide guidance and oversight to junior treasury or finance staff as applicable
  • Support special projects and other finance initiatives as assigned

Benefits

  • Health, Dental, and Vision PPO Insurance
  • Life, STD, LTD Insurance
  • 401(K) Plan
  • 14 Paid Holidays
  • Paid Time Off (Starting 12 days/year)
  • Additional Paid time off (Bereavement, Wedding, Birth of a Child, etc.)
  • Years of Service Awards
  • Education program (Based on Eligibility)
  • Health, Dental, and Vision PPO Insurance
  • Life, STD, LTD Insurance
  • 401(K) Plan
  • Paid Time Off
  • Additional Paid time off (Bereavement, Wedding, Birth of a Child, etc.)
  • Years of Service Awards
  • Education Assistant Program (Based on Eligibility)
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