Treasury Analyst

Dana CorporationMaumee, OH
62d

About The Position

Dana is a global leader in the supply of highly engineered driveline, sealing, and thermal-management technologies that improve the efficiency and performance of vehicles with both conventional and alternative-energy powertrains. Serving three primary markets - passenger vehicle, commercial truck, and off-highway equipment - Dana provides the world's original-equipment manufacturers and the aftermarket with local product and service support through a network of nearly 100 engineering, manufacturing, and distribution facilities. Job Purpose Reporting to the Treasury Manager, this position will provide the right candidate with a variety of challenges, a unique opportunity to be involved in global initiatives, and a high level of visibility to executive, treasury, financial, and business unit leadership, which will facilitate organizational career growth.

Requirements

  • Must have at least 3-5 years of experience.
  • A process/data ownership mentality.
  • Ability to work effectively with business leaders, financial planning & analysis, accounting, product controllers, finance leaders, and entity controllers around the world.
  • Strong presence with the ability to enroll and influence others at all levels.
  • Demonstrated ability to quickly understand complex situations and provide sound, analytical solutions and recommendations.
  • Able to demonstrate strategic problem solving, good decision making, and sound judgment.
  • Strong oral, written, and presentation skills as well as interpersonal skills across diverse cultures and languages.
  • Ability to establish and foster strong professional working relationships at all levels across, within, and outside of the organization.
  • High standards of professional excellence and reliability.
  • High attention to detail with the ability to think strategically.
  • Can lead and act consistently with the company's strategy and values.
  • Demonstrates sound business and technical acumen.

Responsibilities

  • Key member of cash operations team, managing daily fund transfers and associated account reconciliations.
  • Work with global banks to manage account openings and closing as well as associated Know Your Customer (KYC) process.
  • Oversee global system access ensuring that proper controls are in place related to all money movements.
  • Manage process for letters of credit and bank guarantees.
  • Manage the periodic reporting requirements of treasury to all internal/external constituents (FP&A, Tax, etc).
  • Owner of FATCA reporting and maintenance for treasury related activities.Operate "best in class" treasury reporting/activities globally, including:
  • The direct cash forecasting process.
  • Monthly/quarterly closing process.
  • Implement a "zero defect" mentality in all treasury reporting and analysis.
  • Development of enhanced analytical and reporting capability.
  • Establish and lead increased reporting capabilities through the use of treasury systems
  • Maintain global treasury policies and ensure compliance with the policies.
  • Own and manage the operational cash requirements analysis.
  • Other projects and tasks as assigned.

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What This Job Offers

Job Type

Full-time

Career Level

Entry Level

Industry

Transportation Equipment Manufacturing

Number of Employees

5,001-10,000 employees

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