Treasury Analyst
CHICAGO-60611, IL, US
12/05/2016
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Required Skills
Company
Infinity Consulting Solutions, Inc
Experience
3 to 5 Year(s)
Job Description
At Infinity Consulting Solutions (ICS), we pride ourselves in getting to know our candidate further than the bullet points on their resume. We want to know what your long-term goals and ambitions are to make sure we help you make long term career moves. ICS has excelled in creating strong relationships with top performing companies in the Chicago market which has opened many doors for driven professionals like yourself for many years.
Responsibilities
Manage daily U.S. and Canada cash operations including input and management of wire transfers, account funding, reconciliation and accounting
Maintain treasury workstation ensuring business units, bank accounts and cash pools are current and up to date
Management of global bank account and system inventory; ensuring documentation for all bank accounts and bank credential access is maintained and updated on a regular basis
Ensure compliance with key Treasury controls, assist with the update and maintenance of departmental process, control and policy documents and recommending process efficiencies and improvements
Review account analysis statements and provide recommendations to reduce bank fees
Key contact for global subsidiaries to provide guidance in all Treasury related areas such as bank account administration, foreign exchange, liquidity and cash flow
Manage intercompany loans including updating monthly schedules, preparing loan agreements and reconciliations
Prepare the monthly foreign exchange risk profile which involves gathering and analyzing data from several international entities, identifying potential risk areas and provide recommendations to mitigate exposure
Track, monitor and execute hedging instruments and prepare monthly mark-to-market valuations
Track, monitor and process letters of credit and related payments
Manage notional cash pool including daily reconciliation, short term forecasting, borrowings tracking and maximizing inflows
Prepare and review global cash flow forecast
Pension plan management: provide performance data analysis, perform reconciliations and assist with managing retirement plans
Assist in ad hoc projects as needed
Required Skills
3+ years' experience in international treasury, accounting or finance
Bachelor's degree in accounting or finance, MBA helpful
CTP designation or working towards achieving
Must be self-motivated, flexible, hands-on and able to work in a fast paced, multi task environment
Must have excellent organizational and time management skills
Detail oriented with a demonstrated ability for accuracy
Excellent telephone, e-mail, and interpersonal skills
Strong analytical and problem solving skills
Excellent MS Office knowledge, Google docs helpful
Treasury workstation experience a plus
Have a willingness to learn new skills and responsibilities in a high pace changing environment
Treasury Consultant
Accounting & Finance
No Preference
FullTime Job
Other
1
Candidate Requirements
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Bachelors
Walkin Information
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Recruiter Details
Doug Klares
1350 Broadway, Suite 2205,
NEW YORK-10018, NY,
US
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