Senior Treasury Analyst -RemoteHarbor Freight Tools • New York, New York, United States
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Senior Treasury Analyst -Remote
Harbor Freight Tools
- New York, New York, United States
- New York, New York, United States
Über
The
Senior Treasury Analyst
is responsible for the financial transactions of the company, analyzing cash accounts, recommendations on liquidity and debt, cash processing, reconciliations and reporting. These functions are completed in a timely manner and in compliance with policy and regulations. This position will ensure obligations are met, and accounts are adequately funded for ongoing operations. Duties and Responsibilities Support all aspects of cash operations including administration of funds, bank account management, initiating/monitoring transactions and cash positions. Reviews and drives improvements in cash management ensuring financial obligations are met in accordance with policies/procedures, internal controls and regulations. Reconciles receipts/disbursements and ensures accounts are reconciled to the general ledger. Investigates and resolves any discrepancies and unusual items. Forecasts, monitors and tracks cash flow. Provides variance explanations and advises management on potential risks and opportunities. Provides updates to leadership on cash position, current debt levels and scheduled activity, relevant interest and currency rates. Makes recommendations to management on when to borrow or pay down debt. Initiates transfers between accounts to maintain liquidity for ongoing operations. Prepares and schedules recurring debt payments. Proactively updates business partners on key disbursements and receipts. Supports audits by providing payment support and other information in a timely manner. Assists with project assignments and financial reporting. Other duties and responsibilities assigned by management. Requirements : Education Requirements BA in Finance. MBA preferred Years of Experience 5-7 years in Finance and/or Accounting, with a strong background in Treasury. Designation as a certified Cash Manager or Certified Treasury Professional would be a plus. Skills Must be analytical, professional and organized. Works independently and as part of a team. Exceptional mathematical skills and understanding of finance-related computer programs. In-depth knowledge of financial statements and financial statement analysis, including an ability to analyze cash flow and the impact on the financial statements. Experience with cash forecasting, explaining variances and reconciling transactions. Excellent oral and written communication skills, along with the ability to communicate and negotiate with a variety of internal and external partners. Strong planning, organizational, decision-making, interpersonal, analytical, and lateral thinking skills. Working knowledge of MS Word, Excel, Outlook, and PowerPoint. The anticipated salary range for this position is $85,500– $128,300 depending on location, knowledge, skills, education and experience. This position is also eligible for an annual discretionary bonus. In addition, we offer comprehensive and competitive benefits to Associates (and their families) such as medical, dental, vision, life insurance, short-term and long-term disability. Eligible Associates are able to enroll in our company’s 401k plan. Associates will accrue paid time off up to 236 hours per year (inclusive of PTO, floating holidays, and paid holidays). Paid sick time up to 80 hours per year unless otherwise required by law. Seniority level
Mid-Senior level Employment type
Full-time Job function
Accounting/Auditing Industries
Retail
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Sprachkenntnisse
- English
Hinweis für Nutzer
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