Senior Treasury Analyst
Posted:
Thursday, 28 November 2024
Valid Thru:
Saturday, 28 December 2024
Index Requested on:
11/28/2024 13:23:28
Indexed on:
11/28/2024 13:23:28
Location:
Fort Lauderdale, FL, 33301, US
Industry:
Advertising and Public Relations
Occupational Category:
13-0000.00 - Business and Financial Operations
Type of Employment: FULL_TIME
Fairwater is hiring!
Description:
The name "Fairwater" speaks to our firm and steadfast commitment to partnership, equity, and trust. Position Title : Senior Treasury Analyst
Reports To: Director of Financial Analysis & Planning
Schedule : Monday through Friday business hours and additional as required
Location : Fort Lauderdale, FL.
Position Supervised: None
Required Qualifications Education: Bachelor's degree in accounting or finance. Relevant certifications are preferred.
Experience: 5+ years of experience in accounting or finance, with strong background in treasury and cash management. Good understanding of treasury processes and financial planning.
Languages: English
Traits: Team player, excellent organizational and time-management skills, ability to multitask and prioritize, strong analytical and problem-solving skills, effective verbal and written communication.
Preferred Qualifications Skills/Software
Proficiency in Excel; prior experience with ERP systems; Workday knowledge is preferred.
Duties and Responsibilities: Duties and responsibilities for this position include, but are not limited to, the following:
- Manage cash flows by monitoring daily cash position and debt activity to ensure the availability of funds for payroll and other financial obligations.
- Manage banking relationships and establish/ maintain bank accounts.
- Monitor bank accounts and update weekly cash flow projections (13-week cash flow model) forecasting internal transfers and revolver borrowings/ repayments.
- Assist with creating manual A/R invoices and posting customer payments.
- Initiate wire transfers, code A/P invoices, and process cash to master requests.
- Prepare journal entries and account reconciliations for bank, debt, payroll, and benefits-related accounts.
- Assist with the review and coordination of monthly intercompany settlements.
- Assist with the preparation of financial statements, including a statement of cash flows.
- Monitor compliance with terms for debt agreements and letters of credit, and prepare periodic debt covenant calculations.
- Participate in audits by coordinating requests and preparing audit schedules.
- Ensure compliance with established business processes and treasury-related internal controls.
- Participate in the budgeting process by forecasting cash position, debt activity, and interest expense.
- Create treasury reports and presentations for senior management.
- Perform other tasks, duties, and responsibilities as needed or directed by an immediate Supervisor.
Equal Opportunity Employer/Veteran/Disabled
Responsibilities:
Please review the job description.
Educational requirements:
Desired Skills:
Please see the job description for required or recommended skills.
Benefits:
Please see the job description for benefits.
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