Treasury Analyst

AiresPittsburgh, PA
2dHybrid

About The Position

Aires (www.aires.com) has been providing best-in-class relocation management services for over 40 years and is a recognized industry leader in delivering high quality relocation and assignment management services to leading corporations. We Have… An award-winning technology platform, built in-house, that aligns with the future state of Global Mobility A strong Aires brand consistently ranked among the mobility industry's highest annual customer-satisfaction scores and a client retention rate of over 98% A high internal promotion rate and long-tenured employees, highlighting our commitment to career growth and development A comprehensive benefits package, including a 401K match Hybrid work environment An excellent career opportunity is currently available for a Treasury Analyst reporting to the Aires Pittsburgh, PA office. This exciting opportunity is in a high growth environment where you will utilize your accounting experience to support all aspects of the daily treasury operations.

Requirements

  • Bachelor’s degree in a related field preferred
  • 2-3 years of experience in an accounting related role required
  • Experience with accounting software systems required
  • Experience with payment processing, both through ERPs and bank portal sites

Nice To Haves

  • Experience in cash management and forecasting preferred
  • Certified Treasury Professional preferred
  • Excellent customer service and administrative skills
  • Computer literacy with MS Office products, and ability to grasp proprietary software
  • Demonstrated ability to manage multiple competing tasks
  • Ability to follow policies and procedures
  • Can-do attitude
  • Genuine desire to help others
  • Team oriented mindset, with a strong sense of care and urgency
  • Desire to embrace our core values: Client Focus, Results, Responsibility & Accountability, Collaboration and Innovation.

Responsibilities

  • Audits, processes, and resolves issues associated with daily payables processing in internal financial systems to ensure accurate and efficient processing.
  • Executes daily domestic and international transfers, ACH, and check payments.
  • Administers the tax payment process.
  • Manages returns, traces, cancellations, amendments, and issues for payments processed.
  • Investigates cash variances or discrepancies, updates ledgers and the financials database.
  • Assists with monitoring daily cash positions to support liquidity management, and when needed assists with funding requests.
  • Supports foreign exchange (FX) operations, including execution, confirmation, and settlement of spot and forward transactions, while monitoring FX exposures.
  • Supports treasury policies, procedures and controls.
  • Supports financial analysis and reporting.
  • Participates in ad-hoc treasury initiatives such as bank account openings, treasury system implementations and process improvements.

Benefits

  • A comprehensive benefits package, including a 401K match
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