Treasury Analyst

IntraloxNew Orleans, LA
52d

About The Position

The Treasury Analyst oversees the company's day-to-day Cash Management and Treasury Operations and is responsible for management of bank accounts and oversight of wires/ACH payments. The Treasury Analyst will report to the Director of Finance. Laitram, LLC offers an unparalleled opportunity for those who want to work for an established global yet consistently growing company with opportunities for continuous improvement and career advancement. At Laitram, more than 2500 employees located around the world work collaboratively to provide innovative products and solutions for our customers. The work we do provides us with endless opportunities and challenges, and we value every contribution made towards exceptional company performance. Laitram, LLC has been recognized for innovation and workplace excellence, including the New Orleans City Business "Best Place to Work" award. For more information, visit www.laitram.com

Requirements

  • Degree in Business, Accounting or Finance.
  • Self Managed
  • Analytical mindset with strong attention to detail
  • Effective communication across global teams
  • Strong problem solving and initiative to improve processes
  • Ability to handle multiple priorities in a fast-paced manufacturing environment
  • 7-10 years of experience in treasury, corporate finance or banking. Global/multicurrency experience preferred
  • Experience with treasury management systems and/or ERP systems
  • Familiarity with electronic banking platforms

Nice To Haves

  • Banking experience a plus.

Responsibilities

  • Analyze daily cash management reports
  • Review documents for Treasury activities such as ACH, wires, confirmations, borrowing/repayment notices, investments etc.
  • Coordinate documentation for opening, closing, and updating corporate bank accounts and services, while maintaining current bank account registry and signatories
  • Arrange letters of credit and standby LC agreements
  • Support external and internal audit documentation request
  • Lead cash management activities to minimize interest expense
  • Ensure liquidity access for business segments, and optimize global cash balances.
  • Design and implement treasury management system functionalities to enhance operational efficiency and automation
  • Compile FBAR reporting requirements while working with tax.
  • Monitors account analysis to identify errors and opportunities to optimize bank costs.
  • Treasury contact for all bank related questions.
  • Provide analytical support to Corporate Treasurer with a focus on metrics and improvements.
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