Senior Treasury Analyst Resume Samples

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AG
A Gorczany
Alexander
Gorczany
416 Champlin Points
San Francisco
CA
+1 (555) 240 4422
416 Champlin Points
San Francisco
CA
Phone
p +1 (555) 240 4422
Experience Experience
Phoenix, AZ
Senior Treasury Analyst
Phoenix, AZ
Herman, Boyer and Will
Phoenix, AZ
Senior Treasury Analyst
  • Performing bank account maintenance including updating signers, opening and closing accounts, adding services and ensuring proper SOX compliance
  • Assist Treasury Operations team with activities relating to the corporate banking structure (opening accounts, closing accounts, modifying signatories, etc.)
  • Administer global treasury desktop, including creating and maintaining users access rights, authorization levels, and reporting
  • Support the Company's FX hedging program (trading, risk monitoring, reporting)
  • Manage and administer the wire portal ensuring LOAs are current, user management and onboarding and analyzing and troubleshooting any issues
  • Update designation sheet and layered hedging schedule for hedging accounting reporting
  • Assist in tracking and monitoring of Treasury activity, including foreign exchange risk and trade execution, interest expense reconciliation and forecasting
Detroit, MI
Senior Treasury Analyst, Latin Investments
Detroit, MI
Dietrich, Stokes and Littel
Detroit, MI
Senior Treasury Analyst, Latin Investments
  • Investing in both developed and developing markets
  • Providing Risk/Reward evaluation, and recommendations, for addition of new investment instruments
  • Counterparty Risk Management
  • To ensure net interest income/expense budget is managed
  • Assessment of a counterparty in terms of Bank Structure/Risk, Sovereign risk
  • Ensure compliance with TCCC’s Global Investment Policy
  • Ensuring daily Compliance
present
Dallas, TX
Senior Treasury Analyst FX Risk Control
Dallas, TX
Mueller-Nienow
present
Dallas, TX
Senior Treasury Analyst FX Risk Control
present
  • Manage international FX exposure identification and tracking
  • An enthusiastic team player with willingness to lead challenging projects
  • Administrate Treasury Workstation changes and, partnering with IT, implement changes and enhancements to the system
  • Lead company-wide cash repatriation with Tax team and International subsidiary financing efforts
  • Develop and monitor FX rate, bank/counterparty credit risk program advising CFO and Treasurer on changes
  • Calculate weighted average cost of capital framework for investment decisions
  • Ensure the adequacy of internal controls to achieve effective and efficient monitoring of financial covenants compliance & disclosures related to 10Qs and 10Ks to the SEC, debt holders, stockholders, auditors and our Tax Department
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
Michigan State University
Bachelor’s Degree in Finance
Skills Skills
  • Strong analytical skills and solid knowledge of Excel and PowerPoint
  • Proficient in intermediate Excel skills such as pivot tables, lookups, data tables, etc
  • Knowledge of applicable GAAP accounting guidance and ability to read, analyze and interpret financial reports and legal documents; and
  • Strong technical skills including prior treasury management systems knowledge
  • Strong written and verbal communication skills with the ability to operate independently and collaboratively within a team
  • Should be a strong team player with exemplary communication and excellent problem solving skills
  • Rigorous attention to detail, highly accurate with numerical calculations
  • Detail oriented, good communication skills
  • Proficient in Microsoft Word, Excel (including PivotTable), and Access
  • Strong computer and financial modelling skills, proficiency in Word and Excel
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15 Senior Treasury Analyst resume templates

1

Senior Treasury Analyst Resume Examples & Samples

  • Monitor and measure TIAA-FSB’s liquidity, funding, and capital requirements and ensure they are in compliance with policy objectives
  • Manage and report on the liquidity and capital positions of TIAA-FSB
  • Ensure timely and accurate production and analysis of daily and monthly liquidity measurements and structural cash position
  • Assist in development and maintenance of Capital Policy and of Liquidity and Funding Policy, Liquidity Strategy, and Contingency Funding Plan & associated stress scenario descriptions and assumptions
  • Work within the broader TIAA-FSB Finance team to produce periodic financial forecasts
  • Ensuring the capture of all material liquidity and funding risks within TIAA-FSB
  • Manage funding relationships with the FRB, FHLB, and commercial banks
  • Develop expertise in addressing regulatory requirements related to liquidity and capital
  • Prepare ad-hoc financial analysis to support TIAA-FSB and TIAA planning requirements
  • Bachelor’s degree or higher in Finance, Accounting or other quantitative or business-related discipline required
  • Minimum 5-7+ years related work experience in the financial services sector
  • Banking treasury experience is required
  • Liquidity and/or capital management experience
  • MBA/MSF and/or CTP/CMA/CPA/FRM a plus
  • Well-developed financial modeling and forecasting skills
  • Experience with Bank ALM systems is a plus
  • Understanding of financial risk management practices, financial market instruments, and related regulatory requirements preferred
  • Some Conceptual banking skills and an understanding of balance sheet and income statement dynamics as well as understanding of bank accounting practices
  • Advanced experience with Microsoft Outlook, Access, Word and PowerPoint
  • Requires strong numerical aptitude. Strong analytical and critical thinking capabilities
  • Ability to multitask and work well under pressure, maintain strong attention to detail and prioritize work within tight deadlines
  • Excellent verbal, written, and interpersonal communication skills. A quick-learner and flexible team-player
2

Senior Treasury Analyst Resume Examples & Samples

  • Performs 12 month cash forecast projections (US, Canada, Kurt Geiger and Stuart Weitzman). Updates projections daily and works with Director to update the forecast weekly for release to senior management
  • Updates all forecast related schedules (ie. AP/AR trends, rate analysis, payroll trends, other corporate metrics, etc.) and performs variance/trend analysis
  • Performs cash management duties for the daily cash position for North America and Europe
  • Executes funds movement (wires/ACH(s) & FX payment)
  • Month end accounting entries include: ABL fees, AR unapplied, and all supporting schedules
  • Maintain and updates treasury department policies and procedures (ie. disaster recovery, wire procedures, SOX, etc.)
  • Assists with management of banking documentation (.i.e. bank master agreements, signature cards and terms and conditions)
  • Assists department with special projects
  • Liaise with IT as it relates to cash management system updates
  • Liaise with other Finance departments partically as it relates to month-end, quarter-end, year-end close
  • Currently, implementing SWIFTNet for all the bank communication requirements
  • Performs EBS (SAP) by mapping of BAI2/MT formats
  • Assists with internal and external audits
  • BA or BS in accounting/finance or related field is required
  • MBA or MS is a plus
  • CTP (certified treasury professional) certification is a plus
  • Computer skills including Microsoft Office package
  • 3 to 4 years of relevant finance experience
  • Excellent communications and analytical skills
  • Typing, basic computer skills
  • Ability to lift up to 15 lbs
  • Sitting position for 2/3 of day, Standing 1/3Ability to speak clearly
3

Senior Treasury Analyst Resume Examples & Samples

  • Executing foreign exchange transactions, identifying and forecasting foreign currency exposures and counterparty risk exposure, preparing reports and analysis of the hedging effectiveness
  • Performing bank account maintenance including updating signers, opening and closing accounts, adding services and ensuring proper SOX compliance
  • Generating or reviewing quarterly loan statements in accordance with the executed agreements
  • Assisting with managing the corporate investment portfolio and providing analysis on current allocations and exposures
  • Cross training and performing back up responsibilities such as preparing and managing cash positions, daily bank reports and other duties as needed
  • Assisting or preparing treasury related disclosures for SEC filings
  • Leading and assisting with Treasury projects and initiatives; and
  • Identifying opportunities to streamline processes and procedures within Treasury and across the organization
  • Self-motivated and demonstrated strengths in the areas of attention-to-detail, follow through, analytical skills, reasoning, critical thinking, problem solving skills and an excellent work ethic
  • Strong organizational skills, ability to manage multiple projects, meet deadlines, adjust and prioritize workloads in a time-sensitive environment; and
  • Strong written and verbal communication skills with the ability to operate independently and collaboratively within a team
  • Minimum 4 years related Treasury, Finance or Accounting experience
  • Strong analytical skills and solid knowledge of Excel and PowerPoint
  • Knowledge of applicable GAAP accounting guidance and ability to read, analyze and interpret financial reports and legal documents; and
  • Experience within the financial services industry is a plus
  • Bachelor’s degree in Accounting, Finance, Business or Economics; preferably supplemented with an MBA, CPA or CTP
4

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor's degree in finance or accounting required. An MBA/Master’s degree in finance or business is preferred
  • Good written, verbal and interpersonal communication skills
  • Detail oriented, good communication skills
  • Experience with Microsoft office applications
  • Treasury/cash management experience is preferred
5

Senior Treasury Analyst Resume Examples & Samples

  • Lead Balance Sheet and Income Statement forecasting process and provide capital planning and stress testing support, including RBC Bank support of RBC U.S. FBO requirements
  • Reporting and transparency. Position provides reporting to senior management and the Board summarizing each forecasting exercise in the annual planning cycle and highlighting the bank’s actual and forecasted performance as it relates to business drivers, risks and opportunities
  • BS/BA in Finance or higher degree
  • >5 years of financial planning and forecasting experience in the banking industry
  • Excellent analytical and communication skills and specific ability to present analysis and models in a straightforward manner
  • Ability to work well within teams as well as an individual contributor
  • Experience managing large amounts of data in order to develop reporting and analysis for strategic decision making
  • Advanced MS Office skills (Excel, Access, Word, PowerPoint)
6

Senior Treasury Analyst Resume Examples & Samples

  • Core member of the Cash Forecasting and Analytics team within Treasury and partner with the business teams to monitor business and capital markets transactions for impact on cash positioning at GE Capital and GE Company
  • Key contributor to the preparation of global cash forecasts for company executives and function management reviews, including on-going reports and analysis for Asset Liability Committee meetings (ALCO)
  • Provide analytical and operational support to Cash Operations, Liquidity Management, Industrial Treasury, Risk Management, Controllership and Tax for management reporting and regulatory filings
  • Participate in special projects, as necessary, to prepare for regulatory requirement, including but not limited to projects such as
  • Assess global operational cash level for Liquidity Stress Assumption
  • Working with Liquidity for planning and testing of next generation Liquidity Data Management for GE Capital
  • Support Treasury leaders and Liquidity Stress Assumptions Committee (LSAC) on scenario analysis and the implementation of operational changes
  • Counter party cash/exposure management
  • Contingent Funding Planning (CFP)
  • Recovery and Resolution Planning (RRP), etc
  • Drive to simplify Cash reporting process and to improve control around cash data environment
  • Develop common set of cash balance reports to support a broad range of Treasury functions and GE businesses
  • Partner with IT to expand and optimize Cash data analytics capabilities (i.e., data archive/retrieve capabilities for trend and variance analysis, etc.)
  • Review and advise on treasury bank account tagging, esp., liquidity tag to expand system cash visibility and to ensure reporting accuracy
  • Update process maps and SOPs and educate internal/external stakeholders on Cash reporting and forecasting process at Treasury
  • Conduct comprehensive review to confirm cash and short term investment against quarterly accounting ledgers at GE Capital and GE Company
  • Four-year degree in Finance/Accounting/Economics or related majors
  • Three plus years business experience preferably in Treasury or Banking
  • Strong analytical skills and computer skills, with proficiency in Excel and PowerPoint. Strong communication skills; written and verbal
  • Ability to work within team, both cross functions and independently as required
  • Legal authorization to work in the U.S is required. We will not sponsor individuals for employment visas, now or in the future for this job opening
  • MUST BE ABLE TO SATISFY THE REQUIREMENTS OF SECTION 19 OF THE FEDERAL
  • FMP graduate
  • Hands on Treasury or Finance experience preferably within GE
  • Experience in financial planning, cash management, cash forecasting, and/or intercompany funding
  • Strong organizational and influencing skills, across functions and business
  • Knowledge of Treasury workstation products, data environment, Cognos and/or other Business Intelligence tools
7

Senior Treasury Analyst Resume Examples & Samples

  • Sets daily cash position using information reporting from various banking applications
  • Executes wire transfers to meet funding requirements necessary to daily cash position
  • Maintains bank electronic funds transfer templates/administrator of online banking applications (assigns user set-ups, etc). Initiate online banking training or webinars for users. Assists in establishing of or closing of bank accounts, CDs, MMs, as necessary
  • Reconciles prior day cash activities to ensure accuracy and prepare/post daily cash transactions to general ledger
  • Maintains cash desk procedures manuals, signature cards, and interacts with banks and various departments at multiple locations to provide excellent customer service relating to treasury operations and resolve banking issues
  • Performs various other duties as assigned by management
  • 2+ years of experience in a related field, preferably in corporate or institutional treasury function or cash management
  • Other Investments and budgeting administration experience; knowledge of treasury workstation and bank software experience a plus
8

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for calculating the current cash positions in EMEA and determine investment or borrowing needs
  • Utilizing and maintaining the treasury management system
  • Preparation of a consolidated daily cashflow forecast to determine if funding from headquarters is required
  • Execute foreign exchange trades to fund operations and intercompany settlements
  • Arrange the settlement of intercompany balances as required by local accounting teams
  • Preparation of the EMEA month end balances for distribution to US headquarters and local accounting teams
  • Oversee the Treasury Associate and provide support and cover when necessary
  • Assist in the administration of the banking systems
  • Assist with the continuing review of treasury policies and procedures
  • Maintain good relationships with internal and external parties
  • 3 years plus experience in cash management in a treasury department in a multi-national corporation
  • Must possess excellent Excel skills and feel comfortable using banking and treasury systems
  • The candidate must be someone who not only performs a task but can develop an understanding of why a task is performed
  • Experience of using a treasury management system is preferred
  • Has a personality that remains calm in a pressurised and challenging environment
  • Ability to adapt to an ever changing environment and be willing to get involved and help out when necessary
  • Must be able to work with minimal management
  • Strong interpersonal skills and well-developed written and verbal skills
  • Must have excellent analytical and organisational skills and demonstrate a great attention to detail
  • Is able to prioritise their workload and deliver in a timely manner
  • A candidate who looks to improve current processes
9

Senior Treasury Analyst Resume Examples & Samples

  • Obtains domestic and international cash balances on a daily basis; aggregates balances, prepares weekly cash position report, and makes recommendations on cash levels and borrowings
  • Coordinates details regarding borrowings and/or investments with banks. Ensures proper recording of borrowings, investments, and related interest expense/income on a daily/weekly/monthly basis
  • Facilitates bank related matters, including opening/closing of accounts, signature authority, documentation and regulatory compliance
  • Interact and/or troubleshoot with bank/Finance contacts as needed to resolve any issued related to Treasury
  • Assist with month-end closings, year-end audit process and bank covenant reporting
  • Prepares and maintains cash flow forecasts using historic results and future projections based upon interaction with and feedback from Finance team
  • Research and implement banking services to streamline operations, improve accounting efficiencies and reduce fraud risk
  • Coordinate with cross-functional teams to research variances and implement and enforce effective controls while maintaining excellent customer service for both internal and external parties
  • Manages international banking relationships in Asia/Europe with a focus on understanding different banking environments and issues
  • Coordinates and prepares the firm's insurance renewal application process; assists with discussions regarding pricing and vendor selection
  • A Bachelor's Degree or equivalent with a treasury-related discipline is required, preferably with a degree in Finance or Accounting. An advanced degree or certification (such as CTP) is preferred but not required
  • Five (5) to seven (7) years of experience in a Treasury Department of a large organization, including international experience, is required
  • Experience working with on-line bank treasury systems; familiarity working with foreign exchange rates; Excel skills, such as ability to use pivot tables
  • Must be able to work independently and in team settings on multiple projects simultaneously
  • Must be analytical with a strong attention to detail
10

Senior Treasury Analyst Resume Examples & Samples

  • Supporting regional RFP’s in partnership with the treasury regions of all of HP’s existing cash management relationships
  • Partnering with HP’s Treasury teams to define end state HP treasury architecture
  • Partnering with HP’s Treasury Centers and Consulting teams to ensure alignment of strategy, implementation, & shared resources
  • Assisting the Treasury Strategy& Implementation Manager with strategy development and executive summary communications
  • Developing clear project plans and ownership metrics to drive accountability and execution throughout the Treasury organization
  • Serving as a liaison with external HP banking and external partners to drive change and execution
  • Communicates with senior managers, HP’s Assistant Treasurer, and partner organizations to deliver analysis and results for Treasury programs
  • Develops sound relationships with banking partners and internal constituencies (Tax, Legal, IT, AR/AP, Auditors, Treasury Accounting/ HCAG, etc.) to drive initiatives forward
  • A Bachelor's degree or equivalent diploma, preferably with a business, economics, or scientific major
  • Team alignment experience
  • Typically 5+ years related experience in finance, audit, and/or accounting, and 3+ years in cash management/cash investments/project management
  • International and multi-cultural mindset
11

Senior Treasury Analyst Resume Examples & Samples

  • Trust Accounting: Responsible for reviewing and processing the 401(k) trust expenses. Duties will involve reviewing plan expenses, auditing the investment manager fees, ensure HP’s trust expense policy is followed, and working closely with the plan’s custodian and other key stakeholders. Also responsible for utilizing Trustee’s website and becoming an expert on trust reports and the trust expense process
  • Trust Budget: Responsible for preparing and monitoring the 401(k) Plan budget
  • Other Trust Duties: Individual will oversee trust documentation such as incumbency certificates and will be a key role on any regulatory audits or inquiries by the DOL, IRS or other regulatory agency
  • 401(k) Related: Oversees the accrual process, recommends strategy, implements changes, and follows defined policy
  • US H&W: Draft monthly journal entries to record certain US H&W activities, monitor certain H&W general ledger balance sheet accounts, determine accruals, and provide balance sheet fluctuation explanations. Responsible for coordinating 5500 filings for various H&W plans. Responsible for setting up H&W service provider banking arrangements, submitting funding requests, and coordinating changes to disability surety bonds
  • Internal Control Focused: Will provide support, as needed, to internal and external auditors. Individual will be responsible for the annual review of Trustee control reports (SSAE16’s) and for providing support throughout the department SOX reviews, the annual corporate audit, and the benefit plan audits
  • Annual Benefit Plan Audit: Coordinates the annual 401(k) benefit plan audit and all the related benefit filings with regulatory agencies. This may include assisting an external firm in the preparation of the trial balance, financial statements, and disclosures as well as recommending appropriate adjustments. Position may also work with a 3rd party in order to fulfill this work. Extensive work with the external auditors will be required as well as with other key stakeholders: Human Resources, Treasury, Legal and 3rd parties
  • 3rd Party Service Providers: Individual will assist in providing feedback to key providers and may participate on certain 3rd party RFPs
  • Financial Analyses, Special Projects and Process Improvement: Ongoing process improvement initiatives and documentation of key activities will be expected as well as creative solutions to complex issues. Position will also oversee various strategic projects, financial analyses, varied Treasury initiatives, benchmarking activities, and drafting senior presentations
  • First-level university degree or equivalent experience (emphasis in accounting); advanced university degree preferred
  • 10+ years of experience in industry and/or public accounting
  • Benefit plan experience, particularly on 401(k) plans
  • Understanding of trust accounting and ERISA/DOL/IRS and PBGC regulatory requirements for benefit plans
  • Experience documenting processes and controls along with the ability to leverage technology to improve or simplify processes
  • Control and risk focused; must ensure adherence to prescribed controls
  • Demonstrated project management skills and ability to execute a project
  • Ability to work effectively on a team and individual must be service oriented
  • Self-starter with the ability to handle multiple projects, manage aggressive deadlines, and work independently
  • Ability to develop presentation packages a plus
  • Committed to integrity
12

Senior Treasury Analyst Resume Examples & Samples

  • Assess risk, and review global exposures and currency clauses on large deals
  • Centrally manage and mitigate foreign exchange exposure on HP’s balance sheet
  • Develop innovative approaches to Fx risk management
  • Monitor risk and develop strategies to minimize HP’s credit risk
  • Analyze Fx Forecasts and results and optimize hedging costs, hedge ratios, and hedge structures
  • Execute hedging transactions
  • Communicates with senior managers to deliver guidance and desired results for treasury programs
  • Works with and provides suggestions and recommendations on complex hedging strategies/issues to tax, legal, and audit functions as well as businesses on areas related to tax planning, foreign exchange, risk management and treasury solutions
  • Drives world class process in balance sheet exposure forecasting, analysis, and reporting including recommending strategies with appropriate risk/reward trade-offs, and driving a culture of accountability
  • Chartered Financial Analyst (CFA) designation highly desirable
  • Extensive foreign exchange experience and market knowledge including risk management, world economics, fx trading, balance sheet forecasting, exposure analysis, and treasury accounting
  • Typically 6+ years related experience in finance, audit, and/or accounting,
  • 3+ years in foreign exchange
13

Senior Treasury Analyst Resume Examples & Samples

  • First-level university degree or equivalent experience; advanced university degree beneficial
  • Typically 10+ years related experience in risk management, brokerage or underwriting
  • Broad based risk management experience
  • High level of technical insurance expertise
  • Familiarity with global program and International insurance programs
  • Familiarity with Captive insurance companies
  • Strong initiative and self-starter personality
  • Ability to multi task and successfully execute on multiple competing priorities
  • Desire to work in a highly collaborative team based environment
  • Strong organizational, project management, problem solving and analytical skills
  • Advanced knowledge of Microsoft Office tools
  • Strong general computer skills
  • Proficiency with Risk Mgmt information systems
14

Senior Treasury Analyst Resume Examples & Samples

  • Liquidity and offshore cash repatriation planning
  • Investigation of intercompany netting impacts on US cash flow
  • Evaluate the economics of complex financial strategies,
  • Leadership of teams including HP legal, accounting and tax to implement structured transactions
  • Support of equity, debt and interest rate risk management activities led by other members of the Financial markets staff
  • Proactively identify areas for focus and produce persuasive, data-driven arguments to support good decisions
  • A Bachelor's degree or equivalent diploma, preferably with a business or scientific major
  • A MBA is preferred
  • Typically 6+ years related experience in finance, audit, and/or accounting
  • Relevant certification preferred
  • Strong project management, problem solving, analytical and strategic thinking skills
  • Advanced knowledge of Microsoft Office tools, particularly PowerPoint and Excel
  • Understanding of corporate finance theory
  • Works hard, with a positive attitude
  • Focus on quality and detail
  • Integrity, reliability and ability to meet tight deadlines
  • Flexibility and strong team skills
  • Ability to work in a fast-paced dynamic environment
15

Senior Treasury Analyst Resume Examples & Samples

  • Able to communicate and build cross-functional relationships with a strongly developed sense of commercial awareness
  • Ability to liaise credibly with senior personnel both within and outside of Visa
  • Able to demonstrate significant influencing skills
  • Flexible, adaptable, well organized and comfortable with working under pressure and to tight deadlines
  • Customer focused, driven and able to lead by example
  • Able to Actively participate in continuous improvement activities to exceed customer expectations and help promote a professional finance organisation
  • Ideally significant experience (minimum of 7 years) in banking, corporate treasury or consultancy in a financial role including
  • International payments / SWIFT / settlement knowledge and / or experience
  • Working in controlled financial/operational/systems environments
  • Systems /IT experience including
  • Microsoft office proficiency with emphasis on Excel, Visio, Word and Power point
  • Using spreadsheets to analyse data
  • Developing Power point presentations to educate others
  • Developing operational documents in Word
  • Constructing process flows in Visio
  • Working with IT to design, upgrade and trouble shoot Treasury system applications
  • Devising / executing application implementations, conducting user testing and designing and documenting backup plans
  • Ideally a Bachelors’ degree. An MBA, or equivalent is a plus
  • Knowledge of the payments industry is highly desirable
  • Knowledge of RTGS and domestic payment system is highly desirable
16

Senior Treasury Analyst Resume Examples & Samples

  • Executes wire transfers
  • Maintains bank electronic funds transfer templates/administrator of online banking applications (assigns user set-ups, etc
  • Maintains cash desk procedures manuals, signature cards, and interacts with banks and various departments at multiple locations
  • Perform daily/weekly cash forecasts
  • Responsible for system administration of treasury systems and online banking systems
  • Assists management with ad hoc financial analysis and modeling on special projects
  • Other responsibilities in cash management as determined by the Controller or CFO
  • Minimum of three years of hands-on treasury experience
  • Excellent interpersonal, analytical and oral/written communication skills
  • Strong organizational and time management skills, ability to meet deadlines
  • Proficiency using Microsoft Office
17

Senior Treasury Analyst Resume Examples & Samples

  • Creates financial models to analyze and determine the financial impact of recommended action plans. Incorporates accounting, tax and market factors where appropriate. Identifies issues and may make recommendations on alternative courses of action based on the analysis
  • Financial analysis and reporting
  • Bachelors or MBA preferred in either Finance, Accounting, Mathematics or Other with relevant work related experience
  • Ability to develop and maintain complex financial models
  • Solid understanding of economics, statistics, and global capital markets
  • Proficient knowledge of measures of financial return, risk and valuation
  • Strong knowledge of global capital markets
  • In-depth knowledge of U.S. and international payment systems
18

Senior Treasury Analyst Resume Examples & Samples

  • Analyzes the results of business line performance (Loans, Deposits, Net Interest Income) including the comparison of actual results to budget and forecast. The analysis produced is utilized to communicate corporate performance to the Bank’s shareholders, make strategic decisions and to serve as a control point to determine the accuracy of financial information
  • Acts as primary liaison between corporate finance and business units within the Bank. In the role as liaison the position focuses on communication and providing superior customer service to the business units. Examples of the types of communication that the position is responsible for are: i) communicating significant changes to processes ii) communicating items identified in the review or analysis of monthly financial results iii) communicating ideas regarding how to use corporate tools (Hyperion, etc) to efficiently analyze results, etc
  • Analyzes proposed plans including pricing, products, programs, and investments to determine costs and profit; analyzes results of proposals implemented
  • May plan, conduct and supervise long term projects
  • Conducts research and complex studies involving financial analysis, strategic planning, and cost allocations. Prepares management reports and makes presentations on study results
  • Prepares the evaluation of transfer pricing methods and pricing alternatives including volume-rate analysis
  • Analyzes and interprets financial data and compiles statistical reports on current financial developments, financial policies and plans, and significant organization developments
  • Assists in the development and implementation of customer and product profitability in conjunction with various other units
  • Researches relevant business developments in the organization and/or within the industry
  • Assists with the integration of acquired entities into the unit profitability reporting and budgeting processes
  • Performs other duties as assigned or requested
  • Bachelors degree in Finance or Accounting is required or equivalent combination of education and experience. Master’s Degree or CPA preferred
  • 4+ years of experience in banking highly preferred/financial services industry preferred
  • 6+years of financial analysis experience
  • Must possess thorough financial institution product level expertise
  • Thorough knowledge of transfer pricing and margin of financial institution products
  • Thorough knowledge of financial institution balance sheet and profit and loss analysis statements
  • Thorough understanding of regulatory issues such as capital issues and GAAP accounting issues as they relate to the banking industry
  • Thorough understanding and application of principles, standards, industry practices, techniques and concepts, as well as contributing to the development of new concepts, techniques and standards
  • Demonstrated ability to develop solutions to highly complex and diverse analytical problems which requires an in-depth evaluation of variable factors
  • Ability to work effectively with diverse teams are required
  • Strong professional communication, presentation skills & ability to coordinate and lead meetings
  • Ability to Prioritize & Problem solve
  • Knowledge of Hyperion & Essbase a plus, extensive MS Office experience (Excel & PP)
19

Senior Treasury Analyst Resume Examples & Samples

  • Oversee and perform all daily cash activities for U.S. and Canada bank accounts
  • Reconciling domestic and foreign cash positions
  • Preparation of debt and liquidity reports
  • Serve as the bank liaison
  • Prepare bank compliance reports
  • Foreign exchange hedging
  • Cash forecasting
  • Maintains the corporation's domestic and international banking information and reporting
  • Bank debt compliance experience a plus
  • Experience with hands on cash management
  • Accounting, Finance, or Economics degree
  • 5 years experience in a treasury role
  • CTP a plus
  • Hands on Cash Management experience
20

Senior Treasury Analyst Resume Examples & Samples

  • Maintain and enhance Macquarie's Asset & Liability Management framework with a focus on liquidity and interest rate risk in the banking book
  • Liaise with business units to analyse product features, customer behaviour and the impact on balance sheet management activities
  • Integrate new products and businesses into Treasury & Regulatory reporting models and frameworks (including LCR, APRA Fire Drill, and Interest rate risk in the Banking book)
  • Support the reporting and analytical requirements of Regulatory Reporting, Balance Sheet Management and Market Risk hedging teams
  • Strong technical understanding of financial products and markets and an interest in building a career in Treasury risk management
  • Knowledge of data warehousing principles and the ability to extract and transform data using common database languages and tools such as SQL
  • Knowledge of the QRM Framework will be beneficial, although applicants with experience using other ALM and enterprise risk management frameworks are encouraged to apply
  • Higher degree and / or professional qualifications in a financial or quantitative discipline will be well regarded
  • The ability to critically and logically analyse information
  • The ability to engage and influence senior stakeholders and supervise and develop team members
21

Senior Treasury Analyst Resume Examples & Samples

  • International Cash Management functions
  • Analyze current policy & procedures within Treasury department to identify opportunities for improvement
  • Monitor investment performance and make recommendations
  • Prepare monthly debt and interest reports and develop forecast models
  • Provide projections and analysis on multiple projects
  • Experience with foreign exchange and interest rate risk management strategies
  • BS in Accounting or Finance, MBA preferred
  • 5 plus years treasury experience
  • Proficiency in PowerPoint, Excel and Word
  • Ability to work effectively within a team as well as independently
22

Senior Treasury Analyst Resume Examples & Samples

  • Managing and executing ongoing payment, calculation, reporting and notice obligations related to TD Bank’s ABS programs
  • Performing collateral pool analysis, pool maintenance and monitoring all triggers
  • Establishing, documenting and maintaining ABS operational procedures and controls
  • Contribute to the development, implementation and continuous improvement of processes, policies and tools to meet regulatory and compliance requirements, industry best practices and/or achieve organizational goals
  • Provide back-up support for other members of the Secured Funding Operations team in connection with TD Bank’s CMB, NHA-MBS and Covered Bond program operations
  • Special projects as assigned by management
  • Prompt investigation and resolution of errors and/or queries from internal stakeholders, operations or reporting staff
  • Continuous review of all department processes/procedures/controls to ensure that the operation is meeting business requirements (control, regulatory, audit, etc.) and executing the business plan in the most efficient manner
  • Required to stay abreast of the latest industry developments, both from a products perspective and from a regulatory and systems perspective
23

Senior Treasury Analyst Resume Examples & Samples

  • Prepare cash flow and balance sheet forecasts, and partner with corporate FP&A on finance reporting
  • Lead ROIC planning and reporting for the company and business units
  • Develop financial models and pro forma scenarios for evaluating strategic initiatives
  • Plan company’s target capital structure through debt issuance, share repurchase and dividend policy
  • Create materials to communicate strategic priorities and findings to senior management and board of directors
  • Create materials to support our ongoing dialogue with credit agencies, banks and other external parties
  • Provide comparative and key metric reporting on the company’s peer group
  • Perform industry research to highlight opportunities within Nordstrom’s existing business units
  • Perform ad hoc analyses and special projects as assigned
24

Senior Treasury Analyst Resume Examples & Samples

  • BA or BS degree in a finance-related field
  • Knowledge and experience in working with treasury management systems
  • 3-5 years of experience within the field of Treasury Operations/ Cash Management / In-house banking, in a multinational company
  • Experience with global payment systems and best practices
  • Experience with SAP FI and IN-HOUSE CASH
  • CTP Designation
25

Senior Treasury Analyst Resume Examples & Samples

  • Forecasting the cash position on a daily, weekly and monthly basis
  • Approving wire transfers
  • Hedge foreign currency risk
  • Interface with insurance brokers
  • Manage bank relationships
  • Minimum of three years of accounting experience
  • Strong Excel with vlookups and pivot tables
  • Cash forecasting experience is required
  • SAP or large system experience required
26

Senior Treasury Analyst Resume Examples & Samples

  • Develop and process internal and external monthly Treasury and other reporting using Excel schedules and resource systems (Financial Reporting, Bank Systems, etc)
  • Execute debt management activities including monthly tracking, reconciliation and payments
  • Provide analytical decision support across Treasury function, including financial modeling and ad hoc analysis related to special projects (including account reconciliation, asset management, SEC reporting, annual audit responses, etc.)
  • Assist in process improvement within the Finance group, including improved utilization of treasury workstation, shared drive, knowledge sharing and other tools used in the Treasury Department and the Company (SAP, Bloomberg, Factset, Trustee Portal)
  • Assist in tracking and monitoring of Treasury activity, including foreign exchange risk and trade execution, interest expense reconciliation and forecasting
  • Research and resolve Treasury related issues with both internal and external constituents while implementing Treasury controls and reporting as needed. Cross-train on related Treasury functions in Treasury Operations
27

Senior Treasury Analyst Resume Examples & Samples

  • Manage Foreign Exchange activities
  • Execute and monitor hedges
  • Perform monthly and quarterly reporting on foreign exchange and hedge effectiveness
  • Manage all other Foreign exchange related transactions and inter-company settlements
  • Ensure continued compliance with all regulatory requirements (eg. Dodd-Frank / EMIR)
  • Manage all intra-company requests and queries relating to Foreign exchange and exposure management
  • Monitor and report on counterparty risk
  • Ensure FX procedures are up to date and reflective of treasury key controls and segregation of duties
28

Senior Treasury Analyst Resume Examples & Samples

  • Manage the company’s Global Investment Portfolio
  • Manage In-House Investment Portfolio ensuring that we adhere to the Corporate Investment
  • Learn the daily global cash and foreign exchange management processes and act as a backup as
29

Senior Treasury Analyst Resume Examples & Samples

  • Degree in mathematics, computing, or finance is required
  • Strong analytical, communication skills and demonstrated track record of creative problem solving & solution development
  • Ability to work in a fast paced, multiple project environment
  • Strong time management skills and ability to meet deadlines
  • Knowledge of Microsoft programs – Word, Excel, PowerPoint and Access
30

Senior Treasury Analyst Resume Examples & Samples

  • The Treasury Analyst will report to the Treasury Manager
  • Participate in the development and implementation of cash management and investment strategies, the development of corporate cash management policies and procedures and the detailed daily execution of the cash investment plan
  • Assist in the management the company cash/investments
  • Manage compliance with the company’s Revolving Line of Credit covenants
  • Work with the Accounting team to ensure foreign currency is effectively managed and yields for conversion into US dollars are maximized
  • Partner with the Tax team on the effective cash movement associated with our legal entities and tax structure
  • Developing a deep understanding of our business, the competitive landscape and industry in order to propose cash management activities that support the business as we grow
  • Develop and manage all credit processing agreements and associated costs for both domestic and international credit card and e-payment vehicles
  • Partner with the FP&A team on short-term and long-term cash forecasts
  • Ensure Credit and Collections policies are in compliance with best of class standards and ensure risks are minimized
  • Bachelor degree in Accounting or Finance
  • 5+ years of experience in cash management and treasury functions
  • Experience in an e-commerce or retail environment
  • Distinguished verbal and written communications skills
  • Ability to demonstrate outstanding leadership skills with both internal and external audiences
  • Experience in reviewing and interpreting financial statements
  • Excellent follow-up skills with the ability to effectively resolve issues in a timely manner
  • Excellent executive presence; ability to interact and influence senior executives
31

Senior Treasury Analyst FX Risk Control Resume Examples & Samples

  • Manage international FX exposure identification and tracking
  • Recommend FX hedge positions and adjustments to Head of FX and Treasurer
  • Be the central point of contact for international subsidiaries, retail and corporate functions for consulting and analytical support for including capital structure evaluation and realignment
  • Ensure the adequacy of internal controls to achieve effective and efficient monitoring of financial covenants compliance & disclosures related to 10Qs and 10Ks to the SEC, debt holders, stockholders, auditors and our Tax Department
  • Develop and monitor FX rate, bank/counterparty credit risk program advising CFO and Treasurer on changes
  • Lead company-wide cash repatriation with Tax team and International subsidiary financing efforts
  • Calculate weighted average cost of capital framework for investment decisions
  • Analyze and review FX program results and contribute to the narrative of the quarterly trial balance review
  • Administrate Treasury Workstation changes and, partnering with IT, implement changes and enhancements to the system
  • Own ad-hoc Treasury projects and presentations
  • Minimum 3-4 years of accounting, financial reporting and forecasting experience or 2-3 years relevant experience in an international treasury environment
  • An enthusiastic team player with willingness to lead challenging projects
  • Master’s degree a plus
  • Analytical independent thinking, problem solving, strong customer service skills, superior attention to detail and effective time management to meet multiple deadlines to support various areas of Treasury
  • Advanced Excel and presentation skills
  • Strong written and verbal communication skills to build relationships, present projects and provide training to a variety of levels within the organization, including international affiliates
  • CTP credential, Proficiency in Hyperion Essbase and Bloomberg are pluses
32

Senior Treasury Analyst Resume Examples & Samples

  • Monitor short and long term cash forecasting, working capital analysis, short-term investing and other analytical projects
  • Consolidate and submit monthly corporate treasury report to Senior Management
  • Assist with debt compliance, financial modeling (capital structure metrics), and management of financial risks
  • Prepare presentations and create process documentation
33

Senior Treasury Analyst Resume Examples & Samples

  • Develop and foster a positive working relationship with business partners and stakeholders (i.e. Management Reporting, Product Managers, Finance, FTP & Business Advisory)
  • Calculate term deposit transfer pricing and Net Interest Margin (NIM) rates
  • Prepare, analyze, and report term deposit NIM and NII results
  • Maintain and develop the term deposit NII forecasts
  • Develop the effectiveness and sustainability of the term deposit FTP, forecasting, and reporting infrastructure
  • Provide timely updates to Senior Management of significant development in term deposit's results and insights
  • Co-ordinate the implementation of new TDCT term deposit products with internal TBSM stakeholders
  • Act as subject matter expert for term deposit products, features and financial risks
  • Support FTP and Business Advisory team requests for deep dive analyses
  • Maintain a controlled environment for key processes and reconcile key outputs
34

Senior Treasury Analyst Resume Examples & Samples

  • All facets of corporate treasury activities (cash managements, reporting)
  • Bank statement analysis
  • Liaise with internal/external stakeholders
  • Letter of credit management
  • Cash flow projections
  • Bachelors Degree, CTP certification plus
35

Senior Treasury Analyst Resume Examples & Samples

  • Maintain bank accounts and relationships with bank and merchant contacts; setting up new bank accounts as required for new treasury services
  • Verify daily deposits /activity; initiate transfers / wires and record bank interest / fees
  • Prepare daily cash report for senior management and monthly cash forecast
  • Manage 1099 filings annually and any related compliance reporting
  • Analyze monthly bank / credit card charges and reconcile variances
  • Reconcile all bank accounts including depository, operating, disbursement, restricted and credit card accounts
  • Investigate returned ACH transactions and execute stop payment / re-issue payments
  • Prepare weekly credit card batch report, charge back report and perform weekly reconciliation
  • 5+ years of treasury or cash analyst experience
  • Proficiency with SAP and strong Excel skills including use of Macros
36

Senior Treasury Analyst Resume Examples & Samples

  • Participate in the development and execution of the capital planning framework, which includes DFAST stress testing, to measure capital adequacy
  • Perform modeling, analysis and reporting for UMB Financial Corporation, its affiliate banks and its non-bank affiliates related to stress testing, capital forecasting, and other balance sheet management strategies. Modeling should support other Finance departments such as Mergers & Acquisitions and Corporate Risk Management
  • Assist in investment portfolio management by performing detailed credit reviews and analysis of municipal and corporate bond issuers. Make recommendations to the Corporate Treasurer on actions to take on specific issuers. Prepare reports of activity to be provided to the Asset Liability Committee
  • Manage projects related to stress testing/capital initiatives to ensure completion within assigned timeframes
  • Partner with lines of business, finance, and risk leaders to leverage existing processes to develop forecasts and risk measurements
  • Remain informed of regulatory changes affecting capital and stress testing under evolving regulatory regimes (such as Dodd-Frank Act and Basel III). Assist in the development of processes to comply with new or changed regulation
  • Ability to exercise good judgment in evaluating situations and making decisions
  • Demonstrate leadership and credibility. Capable of generating a high degree of respect and trust. Ability and desire to build networks and work across multiple functions
  • Strong analytical/quantitative skills. Ability to combine pieces of information to form general rules or conclusions (finding a relationship among seemingly unrelated events.) Genuine interest in interpretation of data
  • Able to assess overall picture and understand key risks
  • Good understanding of modeling concepts such as linear regression
  • Ability to thrive in an environment of change and manage and properly prioritize multiple tasks and responsibilities
  • Good understanding of bank balance sheets, regulatory capital, and funding requirements
  • Good understanding of credit risk and ability to apply analytical techniques to corporate and municipal issuers
  • Strong understanding of risk management concepts (stress testing, Value at Risk)
  • Experience using PowerPoint to create presentations
  • Ability to work successfully as an individual and as part of a team
37

Senior Treasury Analyst Resume Examples & Samples

  • Resolution of operational issues in treasury
  • Ad-hoc analysis using financial models
  • Assist with month-end close
  • Prepare month-end close reports
  • Minimum of five years of accounting experience
  • Strong Excel with v-lookups and pivot tables
38

Senior Treasury Analyst Resume Examples & Samples

  • Cash management, Payment processing or Settlement Experience
  • Knowledge of corporate payments, transaction banking flows including payment scheme rules, payment formats, corporate to bank payment flows, statement processing intraday and end of day reporting
  • Practical experience using SWIFT Alliance Access and understanding of IPLA capabilities
  • Excellent presentation skills and ability to communicate at all levels within an organization
  • Proven ability to listen, extrapolate information and demonstrate a solution
  • Ability to effectively learn new products and services
  • Demonstrated project and Software Delivery Management skills including issue and risk management, planning and control
  • Demonstrated problem solving and business analysis skills
  • Ability to interact effectively with senior management
  • Ability to work well under time constraints and with multiple projects
39

Senior Treasury Analyst Resume Examples & Samples

  • Monitor and/or perform department controls and deliverables
  • Support analysts in the resolution of cash and/or security breaks in a timely manner
  • Monitor aged and other exception items / breaks in the reconciliations
  • Prepare applicable reporting to internal and external entities
  • Propose procedure revisions as weaknesses and inefficiencies are identified
  • Actively play a key role in project and process implementation, i.e. requirements gathering, gap analysis, roll out process/procedures, training, etc
  • Analyze, identify and report trends in a timely manner. Recommend ways to minimize the reoccurrence of any exceptions noted
  • Guide team in resolving non-routine problems and escalate to supervisor and/or manager. Ensure timely resolution of these issues considering impact to other areas and sites
  • Test and recommend process or product changes to maximize system efficiencies or enhancements and ensure that appropriate internal controls are in place
  • Assist in compilation of management reporting such as the MOR, performance metrics and ad hoc reporting
  • Attend, participate in and provide feedback for department meetings
  • Work on special projects as assigned
  • 3-5 years of accounting experience in automated environment
  • Other education/training (could be part of degree program) advantageous in
  • Teamwork, communication
  • On the job coaching
  • Knowledge of banking operations, mutual funds or the securities industry
  • Good analytical and organizational skills
40

Senior Treasury Analyst Resume Examples & Samples

  • 3-5 years of Treasury experience
  • Bachelor's Degree in Accounting, Business Administration Economics, and/or Finance
  • Previous experience with Cash Flows / Management, Financial Analysis, and Foreign Exchange
  • Microsoft Excel proficient (Pivot Tables, V-Look Ups, Macros, etc.)
41

Senior Treasury Analyst Resume Examples & Samples

  • Assist the portfolio manager in screening and evaluating fixed income securities, including US Treasuries, agency debt, mortgage backed securities (MBS), municipal securities, corporate bonds, and other types. Screening and evaluation process relies on bond metrics such as yield duration, convexity, and option adjusted spread. Execute security transactions as directed
  • Assist the portfolio manager in the preparation of monthly Investment Committee meetings and Asset Liability Committee meetings
  • Maintain relationships with broker/dealers
  • Assist in the review and approval of monthly security valuation process, monthly investment portfolio reporting, and quarterly testing for other than temporary impairment (OTTI)
  • Required License(s) or Certifications- Preferred in CFA &/ or progress towards CFA beneficial
  • Requires deep knowledge of job area typically obtained through advanced education combined with experience
  • Requires 7 years minimum prior relevant experience
42

Senior Treasury Analyst Resume Examples & Samples

  • Prepares cash flow forecasts
  • Performs bank account administration and maintains user access to online banking systems
  • Assists with SEC, FINRA and SOX compliance
  • Oversees Treasury Mailbox to ensure follow-up and follow through on all communications
  • Assists with escalations related to treasury operations
  • Initiates intercompany transfers of cash, including dividend payment
  • Minimum Education Required: Bachelor’s Degree
  • Minimum Experience Required: 3 years, Preferred: Banking / Treasury Operations Experience
  • Licenses/Certifications Preferred: Certified Treasury Professional
  • Software/Systems Skills Required: MS Office, Bloomberg Preferred
  • Understanding of payment methods (ACH, wire, checks) and treasury products / services
  • Good written and verbal communication, attention to detail and problem solving skills
43

Senior Treasury Analyst Resume Examples & Samples

  • Completion of a university degree
  • Accounting designation, an asset
  • Requires knowledge of advanced principles
  • Conducts advanced analysis
  • Prioritizes multiple tasks
  • 3 to less than 5 years of work related experience
  • Provides guidance to others in the completion of tasks; however, no supervisory responsibilities
  • Provides data on financial matters
  • Intense attention to detail with regular analytical work. Mainly project based work or work that requires multiple demands or urgent tasks. Constantly seek to improve process inefficiencies
  • Performs all job functions abiding by the office/work standards as outlined in the company handbook
44

Senior Treasury Analyst, NY Resume Examples & Samples

  • Review and negotiation of terms for loan agreements and letters of credit, as well as monitoring compliance with those loans
  • Monitor operating cash requirements and develop cash forecasts while ensuring debt covenant compliance
  • Assist in preparation of required debt compliance reporting
  • Report and analyze trends in "working capital" ratios
  • Evaluate corporate financial statements and forecasts to ensure that short-term liquidity (cash) levels are sufficient to fund operating activities
  • Prepare regular (monthly) financial reports, budgeted receipts and expenditures, and other information helpful to the governing board
  • Ensure that employees abide by regulatory guidelines, human resources policies and top management's instructions when performing their duties in cash management processes
  • Bachelor’s Degree required; MBA, CPA or CFA preferred
  • Three years (3) of retail treasury/cash management, banking relationship management and experience with international trade letters of credit
  • Candidates must have experience in communicating financial strategies as well as performance goals to executives
  • Must have strong proficiency in MS Excel and PowerPoint
  • Must have strong financial and analytical skills
  • Must be very detail-oriented
  • Ability to multi-task in a dynamic, growing environment
45

Senior Treasury Analyst Resume Examples & Samples

  • Maintain company’s target capital structure through debt issuance, share repurchase and dividend policy
  • Gain detailed understanding of operating performance of the company’s business units
  • Benchmark Nordstrom’s competitiveness within the current business lines and in possible new lines
46

Senior Treasury Analyst Resume Examples & Samples

  • 8+ years of FX management, Treasury, and Finance experience
  • Previous experience with Risk Reporting / Analysis
  • Solid Accounting knowledge
  • MBA and or CPA
  • Experience with banking software, e.g., CitiDirect, BAML Cash Pro, Deutsche Bank DBdi, HSBC - HSBCnet and JP Morgan Access
  • Knowledge of Treasury Workstations, e.g. Kyriba
  • Solid knowledge of Corporate Financial Systems, e.g. Oracle
47

Senior Treasury Analyst, Treasury Resume Examples & Samples

  • Develops ad hoc analyses on cash flows and payment trends by partnering with various teams across the organization
  • Drives new methods to analyze data
  • Analyzes payment tender trends, extracts data from various databases; performs exploratory data analysis
  • Creates scenario analysis to support liquidity planning. Models the impact of overall business changes to our liquidity forecasts
  • Creates financial models to analyze and determine the financial impact of recommended action plans
  • Provides financial support to cross-functional teams. Conducts analyses as needed to support project objectives
  • Works with internal and external customers and vendors to support Treasury function
  • Two or more of the following areas: cash management, financial or commodity risk management, investment management or finance (5 years)
  • Ability to use and maintain complex financial models
48

Senior Treasury Analyst Resume Examples & Samples

  • Intercompany loans
  • Foreign Exchange
  • System Management
  • Bank Account management
  • Communication and reporting skills
  • Ad hoc /Project
  • Bachelor's Degree in Finance, Accounting, Business or Finance
  • Minimum 3 years' experience in Corporate Treasury operations is essential
  • Knowledge of cash management products, bank services and processes is essential
  • Professional Treasury Qualification highly beneficial but not essential
  • Previous Integrity experience desirable but not essential
  • Prior experience with TMS's and online banking systems
49

Senior Treasury Analyst Resume Examples & Samples

  • Regional Cash Operations & Investments including daily cash positioning, arranging short & long-term intercompany funding as appropriate and investment of excess cash
  • Liquidity Management including Cash Flow Forecasting, Liquidity Planning and efficient and cost effective use of cash management tools, e.g. Cash Pooling structures
  • Producing Treasury Reporting packs & analysis
  • Corporate Governance ensuring adherence, compliance and education of internal stakeholders on Corporate Treasury & SSC policies and procedures
  • Supporting the issuance of Standby Letters of Credit and Bank Guarantees in EMEA
  • Assisting with SOX compliance requirements
  • Supporting various EMEA RTC projects, such as banking RFPs, system upgrades and implementations, and process improvements
  • Acting as an internal consultant to provide treasury service expertise and advice to internal business partners as well as proactively identify opportunities for process and system improvements
  • Bachelor’s degree in Finance, Accounting, Economics or related field required
  • Strong computer skills, including proficiency in Microsoft Word, Access, Excel and PowerPoint
  • Knowledge of SAP and TMS an advantage
  • Ability to handle multiple tasks under tight deadlines, work effectively in a team environment and handle confidential and sensitive information
50

Senior Treasury Analyst Resume Examples & Samples

  • High school diploma or equivalent; Bachelor’s or related degree preferred
  • 3 to 5 years of experience in cash settlement back office operations (mutual fund industry preferred, but not essential. Other sectors will be considered - financial or private)
  • Computer literate with experience working in a Windows environment – Proficient in the use of MS Office products
  • Excellent communication skills, persistence and tact
  • Strong analytical skills with a keen eye for details
  • Ability to prioritize workload and meet deadlines
  • Good problem solving skills - Ability to analyze problems and determine and/or recommend resolutions
  • Experience in “back office” banking operations or with banking software – JP Morgan Chase applications would be advantageous
51

Senior Treasury Analyst Resume Examples & Samples

  • Support the development and execution of strategic treasury activities for global operations 
  • Drive the collection and consolidation of actual and forecasted cash flows and capital structure information supporting the development, reporting and execution of funding and repatriation plans for international affiliates
  • Lead the collection and consolidation of global foreign exchange exposures used to develop and monitor risk mitigation strategies
  • Establish and communicate foreign exchange rates used for translating actual financial statements
  • Prepare quarterly and ad hoc presentations on treasury programs and results for review with corporate and regional senior finance managers
  • Bachelor’s degree in Finance related field
  • 5+ years of progressive financial analysis experience
  • Demonstrated organizational skills to manage functional workload and multiple priorities with competing time demands
  • Demonstrated ability to effectively utilize strategic corporate tools and processes for data collection and analysis
  • Strong oral, written and presentation skills to coordinate and deliver effective, confident and results-oriented communications and presentations to diverse global audiences
  • Advanced computer skills using Excel and PowerPoint to prepare communications, financial/functional spreadsheets and presentations
  • Knowledge of HFM, SAP, Anaplan and treasury systems is a plus
  • Past Global Treasury experience preferred
  • LI-POST
52

Senior Treasury Analyst Resume Examples & Samples

  • Expert proficiency in business applications, such as Microsoft Office suite, especially Excel
  • Knowledge of Generally Accepted Accounting Principles (GAAP) is useful, knowledge of financial and treasury principles is expected
  • Advanced professional communication skills, including ability to prepare materials for and clearly and effectively communicate information to internal and external audiences, client groups, and all levels of management
  • Advanced project management skills and ability to lead large multi-functional teams
53

Senior Treasury Analyst Resume Examples & Samples

  • Identify target capital structure and monitor cost of capital for Hess and its affiliates
  • Support corporate transactions including transactions to raise capital, acquire bank credit or acquire or divest assets
  • Identify and analyze financial exposures and develop appropriate risk mitigation strategies
  • Monitor and report the performance of investment managers in the US and international pension plans and the US 401(k) plan
  • Manage daily liquidity for Hess entities, including investing corporate cash balances and executing borrowing transactions
  • Participate in cross-functional teams to further Hess Corporation strategic initiatives
  • Develop presentations for review with senior management
  • Support development of certain financial reporting disclosures related to corporate treasury activities
  • 5-7 years of work experience, including 3-4 years of corporate finance experience
  • Proficient in financial statement analysis
  • Ability to communicate effectively across multiple levels (written and verbal; internal and external)
  • Ability to demonstrate strong initiative and willingness to assume demanding workload in a dynamic environment
  • Strong Microsoft Excel and PowerPoint skills
54

Senior Treasury Analyst Resume Examples & Samples

  • Prepare and analyze the development of the intercompany loan interest forecast by jurisdiction in support of ETR analysis including working with Tax to model loan restructurings
  • Lead the preparation, analysis and settlement of the quarterly intercompany interest payments
  • Lead the monthly intercompany loan reconciliation process, coordinating with European treasury and business unit accountants to ensure compliance with standards
  • Manage and administer the wire portal ensuring LOAs are current, user management and onboarding and analyzing and troubleshooting any issues
  • Assist in the development and execution of subsidiary capitalizations, intercompany investment and repatriation transactions, and structure intercompany loans
  • Recommend improvements to current processes and procedures and implement, as appropriate
  • Work with the business units and corporate functions to implement financial management analytical tools to forecast the company’s global cash positions and to analyze global cash flows and overall treasury position
  • Enforce appropriate controls, policies and procedures and monitor all necessary SOX, governance and compliance for audit and reporting as needed
  • Minimum education requirement: Bachelor's degree in finance, accounting or business
  • Advanced degree or Certified Treasury Professional a plus
  • Minimum 5 yrs. previous work experience in Treasury/Finance or related field
  • Experience in any of the following desirable: Corporate Treasury, Corporate Tax, Commercial/Investment Banking, Financial Consulting, Accounting, Strategic, Planning/Corporate Development, Business Operations financial analysis
  • A record indicating a high level of analytical ability that enables the person to think independently and propose thoughtful explanations and recommendations to management that add value
  • Ability to influence others and work effectively in a cross-functional matrix environment
  • Broad interest in finance and treasury; familiarity with financial accounting
  • Intermediate to advanced skill with the full suite of Microsoft Office products, preferably including the extraction and manipulation of data from ERP systems; advanced Excel (pivot tables, v-lookups, etc.) experience preferred
  • Knowledge of Oracle and Hyperion (HFM) a plus
55

Senior Treasury Analyst Resume Examples & Samples

  • Minimum of 2-year experience in finance, risk, bank treasury, or relevant consulting practice
  • Knowledge of key features retail banking products
  • Knowledge of Fixed income, capital market products, and derivatives
  • Knowledge of valuation concepts (such as cash flow, PV, IRR, duration), and interest rate hedging
  • Funds transfer pricing (FTP) concept in a plus
  • Experience with query (SQL) and large quantity of data retrieval and analysis is a plus
56

Senior Treasury Analyst Resume Examples & Samples

  • Analyze subsidiary financing requirements and work closely with subsidiaries, treasury operations, and tax to ensure proper funding of cash flow needs as well as to devise low cost methods of cash repatriation, wherever possible
  • Monitor and forecast Cabot’s financial leverage. Analyze impact on ratios and debt covenants caused by changes in forecasts, share repurchases, working capital, as well as acquisitions or divestments
  • Maintain database of bank accounts and authorized signatories, working in partnership with Cabot’s tax group to comply with the Report of Foreign Bank and Financial Accounts (FBAR)
  • Work with financial service providers to coordinate account openings, closures and changes in bank services
  • Provide support for regional assessments of bank services and fees; identify and assist in the implementation of treasury best practices
  • Oversee the assignment and ongoing maintenance of employee access in global banking systems
  • Identify and drive process improvements in corporate treasury operations, utilizing treasury management system, banking platforms as well as other analytical tools
  • Support team members in key routine activities such as regional cash positioning, commercial paper issuance; global intercompany settlement process; management of Cabot’s notional pool and intercompany loan programs; publication of key treasury data such as FX rates; as well as activities associated with understanding and mitigating transactional FX risk
  • Compile and analyze financial information to meet monthly, quarterly and fiscal year end management reporting requirements
  • Assist in preparation of presentations to board of directors, executive management, financial institutions and rating agencies
  • Collaborate with regional shared service centers and accounting teams on cross-functional objectives
  • Assist in evaluating compliance with the Company’s treasury policies and internal control framework
  • Contribute to special projects and ad hoc analysis requests
  • Consistently demonstrate high standards of integrity by supporting Cabot Values and Elements of Success
57

Senior Treasury Analyst Resume Examples & Samples

  • Reporting complex financial concepts and business results in terms understandable by audiences with varied backgrounds & seniority levels
  • Identifying inefficiencies and implementing valuable solutions
  • Managing projects, gathering business requirements and explaining them to system developers
  • Using computer tools for data retrieval and analysis, in particular Excel; SQL, Access, Data Cube tools would also be an asset
58

Senior Treasury Analyst Resume Examples & Samples

  • Provide Daily cash management services for Worldmark , the Club and HOAs. Cash management includes bank administration, processing and inquiries
  • Assist in the preparation of monthly and quarterly cash position reports
  • Work with Treasury Manager to implement Best Practices solutions for Worldmark HOAs
  • Wire transfer review and approval
  • Provide backup support to other members of treasury team
  • Download monthly bank statements for associations
  • Adhoc projects as needed including
  • Knowledge of cash operations, wire transfer processing, SOX, treasury best practices, supervisory experience a plus
  • Experience with Microsoft Office with proficiency in Excel
  • Treasury Workstations preferably Kyriba
  • Working knowledge of multiple electronic banking systems
  • 7-10 years experience in a corporate treasury department
  • Hospitality/timeshare experience preferred
59

Senior Treasury Analyst Resume Examples & Samples

  • CPA is an absolute must
  • Minimum 5 to 7 of years experience in a professionally responsible position within a large corporate environment
  • Prior experience required in treasury cash management and use of electronic banking systems
  • Experience with integrated computer-based (ERP) Treasury applications
  • Knowledge of the Federal Accounting Regulations (FAR), Cost Accounting Standards (CAS), GAAP and/or GAAS
  • Certified Treasury Professional (CTP) designation preferred
  • Extensive knowledge and ability to use electronic technology to monitor and gather bank transaction information for integration into the company's financial systems
  • Experience in general ledger maintenance, financial statement preparation, and historical cost trending
60

Senior Treasury Analyst Resume Examples & Samples

  • Prepares Treasury’s due diligence for Worldwide M&A activity. Participates in pre-closing, closing, and post-closing reviews and integration processes for subsidiaries. Prepares funds flow summary with legal, business development and Tax for worldwide M&A activity. Assists with the on-boarding process into the corporate Treasury structure which will include the transition to corporate banking structure, coordinating appropriate signatory changes, identifying FX exposures and establishing intercompany funding structure
  • Tracks and monitors cash flows associated with global inter-company financing (principal and interest). Prepares steps plans for the financing activities. Coordinates the repayment, renewal or restructure of maturing loans and maintains the global inter-company loan documentation & related schedules. Acts as liaison with senior management in various departments such as tax, legal, corporate accounting, and international financial reporting to avoid potential issues regarding global cash flow activity, inter-company financing, etc
  • Coordinates with local finance personnel at international subsidiaries on local banking changes, investment requirements, intercompany & external funding requirements. Responsible for the integration of new cash management procedures and bank services for subsidiaries. Assists with evaluating and implementing new bank structures for acquired companies. This includes coordinate banking for acquisitions, rolling acquisitions onto BMG banking platform, ensuring Bank Account Compliance in Treasury Management System and provide training if necessary. Assists in the maintenance of all Henry Schein bank accounts and BAC module in TMS. Prepares the group’s international banking information and reporting
  • Prepares and maintains Subsidiary Briefs, which are reports containing worldwide subsidiary summary with critical information (sales by currency, sales by business line, FX exposure, loan structure, management team, legacy business names, etc.) required for team to better manage relationships
  • Researches, evaluates and understands the banking requirements and regulatory rules in various emerging markets for Henry Schein. Identify optimal financial institution (preferably Credit bank) to cover banking needs in various emerging markets
  • Supports the evaluation and implementation of various working capital initiatives across international subsidiaries. Current focus on P-card, Credit Card Processing, Supply Chain Financing and bank fee analysis. Implement Worldwide lease vs. buy analysis program
  • Communicates with global banks as necessary to resolve performance issues regarding day-to-day Treasury Issues. Updates senior management on changes in banking regulation
  • Recommends improvements to existing department policies, procedures and controls to keep up with organization's changing business environment. Update and maintain procedure manual for all key functions initiated in the TMS
  • Coordinate with business units, information systems, corporate accounting, subsidiary & affiliate teams to initiate and manage projects to improve liquidity management, hedging procedures and reporting
  • Assist with testing of internal controls as related to Sarbanes Oxley
61

Senior Treasury Analyst, Foreign Exchange Resume Examples & Samples

  • 2-4+ years of progressive accounting or finance experience at a large Multinational company
  • Working knowledge of basic foreign exchange concepts and risk mitigation strategies
  • Strong analytical skills, effective communicator and ability to work under efficiently under pressure
  • Experience/Familiarity with In-House Banking
  • Treasury systems (FxAll, Bloomberg), SAP (preferred), MiSys
62

Senior Treasury Analyst Resume Examples & Samples

  • Coordinating with finance leads in various countries not in Danaher Corporate cash pool for establishing cash funding templates
  • Primary Company contact for bank portals administration
  • Provide leadership in the effective coordination, monitoring control and optimization of Company’s treasury functions
  • Interface with Company’s non-Corporate banking partners globally to ensure a cost effective treasury network and services
  • Work on special projects for Company or Danaher as needed including transition to Danaher approved bank accounts and cash repatriation
  • Become SME for Company’s third party SWIFT provider, Broadridge
  • Ensure global compliance to Company’s Banking Policy
  • Keep the Company timely informed on any country policy changes in the region that would impact the Company’s interests
  • Manage all current cash pools in the region to prevent any potential overdrafts
  • Be a valuable player in Company’s M&A activities in the region as it relates to Treasury
  • Improve Company’s system controls as it relates to Accounts Receivable and Accounts Payable in the region
  • Develop processes to improve existing systems
  • Provide other support as needed
  • Ability to travel if necessary
  • Bachelor’s degree in Finance, Accounting, Mathematics, Economics or related discipline
  • 5+ years of experience in corporate treasury for a large multi-national company with global operations
  • 5+ years of experience with Treasury laws, regulations, and U.S. GAAP principles
  • 5+ years of experience in managing multiple priorities and deadlines
  • 5+ years of experience managing financial processes and internal controls
  • Strong interpersonal, analytical, and organizational skills
  • Excellent attention to detail and a strong sense of urgency
  • Oral language fluency in English
  • Ability to communicate effectively in writing
  • Intermediate knowledge of Microsoft Word, Excel
  • 5+ years of experience overseeing the continuing development and improvement of Treasury reporting
  • Certifications in Treasury such as Certified Treasury Professional (CTP)
  • Additional language fluency a plus
  • Demonstrated development of leadership skills
  • Expert knowledge of Microsoft Word, Excel, HFM, and SAP
63

Senior Treasury Analyst Resume Examples & Samples

  • Works with global business units on identifying, quantifying, and forecasting commodity, interest rate and foreign exchange risk
  • Develops strategies to manage these risks under the guidance of internal risk management policies and procedures, as well as SFAS 133 and Sarbanes-Oxley
  • Stays abreast of financial market developments by working with investment banking partners and other sources. Responsible for capital markets modeling and credit facility reporting
  • Executes commodity, foreign exchange and interest rate hedges (e.g., forwards, options, commodity swaps, interest rate swaps, and cross-currency swaps) as needed
  • Prepares reports on hedging strategies for senior management on a regular basis, including primary lead on preparing and presenting to the respective risk management committees
  • Analyzes and forecasts impact that changes in commodity prices, foreign exchange rates, and interest rates will have on the corporate results
  • Works with the Sr. Treasury Manager and Treasurer on financing and refinancing projects
  • Prepares debt covenants compliance certificates to credit facility banks
  • Liaises with domestic and international cash management financial institutions. Resolves banking related issues that originate at the company. Leads and conduct meetings to cultivate relationships between the company and financial institutions
  • Leads and/or participate in corporate special projects to develop or improve areas of cash management
  • Prepares company dashboard reports of Treasury Operations-related activity
64

Senior Treasury Analyst Resume Examples & Samples

  • Maintain, evaluate and improve internal controls for the cash management processes
  • Perform periodic data reconciliation between Bank Account Registry and accounts in the various cash management systems
  • Provide quarterly cash forecasts for holding companies managed
  • Using ACE, maintain and develop standard work for Cash Management and related processes
  • Responsible for testing Sarbanes-Oxley control objectives for various treasury functions to ensure activities are authorized and performed per applicable resolutions, delegations, and policies
  • Work with cross-functional teams to implement special transactions
  • Maintain bank account outlines, electronic payment approvers and supporting documentation of holding companies managed
  • Assist with cash pool and holding company internal/external documentation as necessary
  • Supports the approval process for the opening and closing of bank accounts as per standard work. Maintenance of bank account information and documentation
  • Supports the project team on cash mobilization initiatives and passport process
  • Responsible for managing quarterly reviews for e-banking platforms
  • Work on multiple improvement initiatives (e.g. reporting; SAP enhancements)
65

Senior Treasury Analyst Resume Examples & Samples

  • Honours Business/Finance Graduate
  • Treasury qualification (AMCT or similar) preferable
  • Approx. 4-6 years Corporate Treasury experience
  • Strong knowledge of FX and Cash Management and prior treasury systems experience
  • Prior experience of Quantum or SAP an advantage
66

Senior Treasury Analyst Resume Examples & Samples

  • Play an integral role in the development and maintenance of Group Regulatory Reporting controls and framework
  • Responsible for the valuation of all of the Groups Intercompany Loan and External Debt Transactions
  • Develop and enhance Group Liquidity and Cash Management reporting requirements
  • Ensure internal controls are operating effectively
  • Preparing and delivering monthly and quarterly Global Derivative Data reporting requirements
  • Provision of data to meet Regulatory (FINMA, Solvency II) and Group reporting requirements
  • Enhance any regulatory reporting to meet changes in regulation
  • Analyzing financial data and performing reconciliations between various Group systems
  • Responsible for ensuring that all of the Groups intercompany loans are booked in the Treasury system in a timely and accurate manner
  • Work closely with IT and Finance teams to help develop and implement a robust and adaptable Regulatory Reporting framework
  • Develop new controls within Middle Office to reduce Operational Risk
  • Provide support to Middle Office management across all group projects (including project management, project planning and project implementation)
  • 4+ years within treasury in a corporate or bank preferably in a Senior Credit Analyst position
  • Insurance industry experience beneficial
  • Relevant treasury experience, including operational experience of cash-pooling structures
  • Experience of financial and regulatory reporting
  • Experience working in a project, including planning, UAT testing and implementation
  • Experience working with a treasury management system
  • Highly proficient in MS Excel, with emphasis upon automation
  • VBA skills beneficial
  • University degree in business, finance or quantitative discipline
  • Treasury qualification (e.g. AMCT or similar) preferable
67

Senior Treasury Analyst Resume Examples & Samples

  • Certified Treasury Professional
  • Exposure to currency hedging
  • 5-7 years of experience working in the treasury department of a global company
  • Demonstrated competence in Microsoft Office applications specifically Excel-based modeling skills - Experience with SAP a plus
  • Must be capable of effectively communicating with all levels both internally and externally
68

Senior Treasury Analyst Resume Examples & Samples

  • Corporate and international cash management
  • Financing and investing
  • Foreign exchange management
69

Senior Treasury Analyst Resume Examples & Samples

  • Manage the weekly and quarterly cash forecasting model and process, including planning and budgeting for several legal entities. Liaison and coordinate with various functions departments to obtain information to prepare liquidity forecasts including payments, collections, intercompany fundings, taxes, and capital investments
  • Identify and implement process improvements to consolidate financial data model drivers and assumptions
  • Provide insightful analysis to support our liquidity and working capital strategies and interact with financial and operational leaders on cash forecasting assumptions
  • Develop and maintain collaborative relationships with financial planning and reporting, tax, commercial finance, business operations, external and internal financial reporting, and accounting
  • Assist with transactions settlement including wire, ach and check payments along with fx trade settlement confirmations
  • Assist the Sr. Manager with the company’s investment strategies to meet entities’ operational planning needs and knowledgeable about investment policy and strategies, investment accounting principles and disclosures including FAS 115 and 157
  • Assist with account opening procedures and documentation requirements, and internal management reporting
  • Assist with month-end and quarter-end close activities and provide supporting information for internal and management reporting
  • Familiarity with evaluating economic market data and different types of banking products and services including cash management, financial instruments, market rates and banking policy, working capital programs (supply chain and receivables factoring programs), and debt and equity instruments. Banking (credit and counterparty risk exposures) and capital markets experience is a plus
  • Bachelors of Science / Bachelor of Arts Degree in Business, Finance, Mathematics, or equivalent. MBA and CTP is preferred
  • 3 to 8 years of experience with Corporate Treasury, FP&A, and/or Accounting along with 3 to 5 years of financial modeling and analysis experience, preferably FP&A-related. The candidate should excel at building and modifying financial models (13 week rolling and four quarters) with macros and VBAs
  • Financial acumen and strong problem-solving and data analysis skills to manage through ambiguity and complexity. Results-oriented mindset with excellent analytical and organization skills
  • Proven ability to operate in a global multi-national organization. Practices good judgment and discretion while working with a cross-functional team and matrix management structure
  • Results-oriented mindset with the ability to perform multiple tasks and prioritize deadlines in a fast-paced, dynamic environment; self-motivated and manage routine workloads; and perform ad-hoc projects with minimum supervision
  • Excellent analytical, communication, and interpersonal skills will be essential for the role
  • Knowledgeable about SOX compliance, audit controls and processes, and SEC Reporting including review of 10K &10Q disclosures
  • Knowledge and experience with implementing treasury management systems, banking and investment services, and ongoing ERP systems integration efforts (Oracle and SAP ERP systems)
  • Proficiencies with Microsoft Office applications, investment trading and reporting portals, and Bloomberg terminal. Box and Tableau experience is a plus
  • Banking and capital markets experience is a plus
70

Senior Treasury Analyst Resume Examples & Samples

  • 3-5 years of solid industry experience
  • Graduate university degree equivalent to MBA with a major in Finance
  • Knowledge of Treasury Systems
  • Fluent in English. Additional European languages would be an advantage
71

Senior Treasury Analyst Resume Examples & Samples

  • Conduct special projects as assigned by the Trinity Health SVP, Treasury and CIO, CFO, or other senior finance executives
  • Serve as a backup for other Treasury Analyst positions and provide cross-training as needed
  • Ensure the confidentiality of all communications, information and documents as appropriate
  • Develop tools and enhancements to existing programs and services
  • Responsible for applicable accounting, budgeting and financial reporting activities to support operation services
  • Develop and conduct comparative analysis and forecasting of data
  • Maintain applicable records, databases, and documentation
  • Prepare and generate ad-hoc, special and scheduled reports, summaries, statements and forms
  • Assist in the administration of various program services
  • Understand and ensure compliance with and internal controls are maintained relative to regulatory and agency requirements
  • Perform back-up support to existing operational services
72

Senior Treasury Analyst Resume Examples & Samples

  • Ten+ years of treasury management experience in a multi-national business environment or a financial services organization doing International banking
  • Hands-on experience with cash management online banking systems both in the US and Internationally
  • Superior business and analytical skills, able to focus on key issues and solve problems
  • Proven ability to operate at both the strategic and tactical level
  • Expresses a proper sense of urgency from both a personal perspective and from the nature of a given assignment. Likes to achieve quick and accurate results
  • Two+ years of experience with Oracle, Excel and Access
  • An undergraduate degree in either accounting or finance is required. An MBA is preferred
73

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor’s degree in Business Administration, Finance, or related disciplines
  • 5-7 years of experience in a Bank, Financial Services
  • Familiarity with Treasury’s activities, both practical and theoretical
  • Ability to research, formulate ideas, and develop actionable insights
  • Solid project management and coordination skills with proven ability to meet deadlines
  • Strong analytical, data management, and communication skills
  • Team player with strong interpersonal skills with a focus on achieving the common good
  • Proficiency with MS Office (Word, Excel, Powerpoint, Access)
74

Senior Treasury Analyst Resume Examples & Samples

  • Bachelors degree in accounting, finance or economics
  • 3 - 5 years of work experience in finance or business
  • Finance and accounting knowledge; Strong quantitative and analytical skills
  • Exceptional in Excel, PowerPoint and Word
  • SaaS industry experience a plus
  • Hyperion, Treasury Management Systems, Essbase and Bloomberg a plus
  • Superb work ethic and integrity - enthusiastic, self-starter and proactive
  • Team player, able to work collaboratively within the group and across divisions & functions and as well as work as an independent member
75

Senior Treasury Analyst, Latin Investments Resume Examples & Samples

  • Day to day investment decisions for the Latin America investment portfolio
  • Investing in both developed and developing markets
  • Counterparty Risk Management
  • Assessment of a counterparty in terms of Bank Structure/Risk, Sovereign risk
  • Tight alignment with Debt Team on Asset/Liability rate sensitivities
  • To ensure net interest income/expense budget is managed
  • Leading and building the understanding and thought process for specific market developments, such as market specific regulatory changes
  • Working closely with International Treasury Services Analyst to manage the company cash repatriation strategies in order to ensure needs are met while effectively keeping adequate liquidity within each country
  • Ensure compliance with TCCC’s Global Investment Policy
  • Ensuring daily Compliance
  • Providing Risk/Reward evaluation, and recommendations, for addition of new investment instruments
  • Experience using a Treasury Workstation a plus (Specifically WallStreet Systems or Reval)
  • Understanding of Wires, ACH payment processing and ensuring they are processed in accordance with company policies and procedures (SOX)
  • 2 - 3 years of prior treasury or investment experience is required. CTP a plus but not required
  • Forecasting. Ability to develop assumptions and produce relevant financial projections
  • Market Operations. Knowledge of financial market operations
  • Treasury Forecasting. Ability to create assumptions and forecast trends in business (i.e., cash requirements capitalization requirements, foreign exchange exposures)
  • Economic Theories. Knowledge of economic theories. This includes microeconomics, macroeconomics, and international economics
76

Senior Treasury Analyst Resume Examples & Samples

  • A minimum of two years of applicable work experience in treasury management and/or sales required
  • Typically requires a degree from a four-year college (e.g., B.A, B.S.) or equivalent work experience, plus strong technical experience and skills
  • CTP and AAP certifications preferred. Knowledge of corporate treasury and financial operations needs is a plus
  • A general understanding of widely used ERP and accounting systems is a plus
  • Proven professional verbal, written, and presentation skills required
  • The ability to work in a team environment; fostering a healthy and collaborative environment with all business partners is needed
  • Effective time management and prioritizing skills are also needed
  • Must be able to deliver extraordinary client experiences
  • Ability to take ownership of projects and see them through to completion is required
77

Senior Treasury Analyst Resume Examples & Samples

  • Actively seek to uncover operational and financial risks embedded in various business lines that could affect profitability or be detrimental to business continuity
  • Perform detailed risk analytics related to both foreign exchange and fixed income investments including Monte Carlo and VaR analytics
  • Work extensively with internal groups including Global Payments, Finance Operations, Accounting, Legal, and Tax on new FX-related business initiatives and customer facing process improvements
  • Design and build risk monitoring frameworks, systems, and reporting dashboards
  • Serve as backup for Treasury FX and investment trading operations
  • BA/BS degree in applicable field
  • Advanced Excel and financial modelling skills
  • Knowledge of institutional banking and payment systems
  • 7 years of Treasury or applicable experience
  • Familiarity with foreign exchange trading operations
  • Ability to work independently to drive implementation of small and large-scale process improvements
  • Basic knowledge of foreign exchange and interest rate derivatives and hedging strategies
  • Certified Treasury Professional (CTP) designation
  • Experience with VBA automation in Excel
  • Experience with Excel-based Monte-Carlo simulation software solutions such as @Risk, ModelRisk, or Crystal Ball
  • Experience with multi-lateral foreign exchange netting, in-house banking solutions, and pay-on/receive-on-behalf-of cash management solutions
  • Basic experience writing SQL queries
  • Corporate Treasury Foreign Exchange and Fixed Income Investments experience
  • Experience working with Cognos
78

Senior Treasury Analyst Resume Examples & Samples

  • Handle end-to-end acquisition integration activities which include bank account rationalization, account signer updates, migration of online portals, closure of inactive accounts, replacement or cancellation of outstanding letters of credit/bank guarantee/surety bonds
  • Act as overall project lead within Treasury Operations and represent the team in integration meetings
  • Complete integration activities within designated timeline
  • Provide support in annual global corporate insurance program renewal for Property & Casualty, Errors & Omissions & Directors & Officers
  • Provide coverage for wire processing, FX settlement and other operational/risk functions
  • Assist in insurance language review for various vendor contracts
  • Assist in ad hoc support projects/initiatives
  • Experienced in handling Treasury-related integration activities
  • Strong background in bank account infrastructure set up, rationalization & letters of credit (LOC) management
  • Experienced in bank relationship management and negotiation
  • Understanding of various corporate insurance programs
  • Excellent organization, documentation, and problem solving skills
  • Ability to multi-task effectively and work independently
  • Attention to accuracy and detail a must
  • Ability to collaborate in a team environment
  • Experienced in cross-functional and cross-departmental collaboration
  • Minimum 4+ years Treasury/Risk related experience
  • Bachelor’s in Finance or equivalent
  • Experience in working for global companies or banking operations a plus
79

Softlayer Senior Treasury Analyst Resume Examples & Samples

  • Four-year degree in accounting, business or a related field
  • Three years of experience performing International Treasury/Cash Management functions and Financial Analysis
  • CTP certification a plus
  • Advanced Excel skills (including pivot tables, v and h lookups, and complex formula writing)
  • Experience with large accounting and reporting systems (Epicor, Oracle or Hyperion a plus)
  • Current knowledge of multi-entity operations and posting into several different companies
  • Experience and understanding of foreign currency transactions, payments, or translation activities
80

Senior Treasury Analyst Resume Examples & Samples

  • Provide support on debt transactions including bond issuances, revolver refinancing, secured debt and debt maturities
  • Participate in the management of relationships with financial instructions, rating agencies, and other third parties
  • Play a lead role in Hyatt's cash investment execution by assisting with capital deployment decisions and ensuring adequate sources of financing and liquidity
  • Ensure compliance with all unsecured debt covenants and help monitor guarantees
  • Manage Hyatt's notes receivable portfolio and third party debt schedules, which includes working closely with accounting to determine potential impairments
  • Play a lead role with Hyatt's loyalty investment portfolio, by executing all reporting, performance and compliance requirements
  • Verify all foreign exchange rates used for all budgeting and forecasting purposes as well as monthly close
  • Assist VP of Treasury Operations with the execution and reporting for all of Hyatt's Standby Letters of Credit
  • Responsible for quarterly WACC calculation
  • Complete all fair value calculations and compliance memos as needed
  • Participate in additional projects as needed
  • Ad-hoc financial analysis as needed
  • 2-4 years of experience in Treasury, Capital Markets, or related area with relevant experience
  • Demonstrate ability to solve complex problems and communicate findings clearly and effectively to others
  • Self-starter; ability to juggle and prioritize multiple deliverables
  • Thrives in a fast-paced, growth environment
  • Ability to work well in a team as well as independently
  • Excellent problem solving abilities and quantitative skills
  • Intermediate proficiency in Microsoft Excel
  • Proficiency in Microsoft Word
  • Proficiency in Microsoft PowerPoint
  • Bloomberg experience desired
81

Senior Treasury Analyst Resume Examples & Samples

  • Daily Cash Operations: Support the daily liquidity function, including calculating the current day cash position, cash forecasting and processing wire transfers
  • Investments: Assist in placing investments in compliance with the corporate investment policy
  • Treasury Systems: Oversee the System Administration for Global Banking systems and internal Treasury work station (“E-Cash”)
  • Bank Account Administration: Coordinate and manage all documentation requirements for maintaining bank account signatories, opening new accounts, closing existing accounts, changing signatories of existing accounts and working with the tax department on FACTA and FBAR related activities. Assist with implementing and maintaining bank services
  • Additional Responsibilities: Analyze bank fees and prepare monthly management reports. Work on special projects as needed
82

Senior Treasury Analyst Resume Examples & Samples

  • Assess and monitor foreign exchange risk to the company with a focus on balance sheet risk in Asia Pacific, Eastern Europe and Africa regions
  • Develop and maintain relationships with trading counterparties
  • Market research related to FX rates, central bank policy and macro environment for Asia Pacific, Eastern Europe and Africa
  • 3-5 Years FX and/or Treasury experience
  • Team player with strong verbal and written communication skills
  • BA / BS degree in Finance/Accounting or relevant degree
83

Senior Treasury Analyst Resume Examples & Samples

  • Analyze subsidiary financing requirements and work closely with subsidiaries, treasury operations, and tax to ensure proper funding of cash flow needs and the efficient use of cash and bank borrowing facilities
  • Drive process improvements in corporate and subsidiary treasury operations, utilizing treasury management systems and SAP, banking platforms and other analytical systems and tools
  • Collaborate with shared service center, subsidiaries and accounting teams on key routine activities such as regional cash positioning, global intercompany settlements, management of notional pooling and intercompany loan programs, and mitigating transactional FX risk
  • Share responsibilities with Manager for various daily and month-end treasury accounting tasks and jointly serve with Manager as key contact for the accounting group on treasury transactions and postings
  • Support the administration and maintenance of the In-House Bank, work with IT to conduct SAP enhancements related to treasury operations, and lead the onboarding process of new banks or subsidiaries to provide daily bank reporting and payment access via multi-bank SWIFT setup
  • Maintain database of global bank accounts and authorized signatories, work with financial service providers to coordinate account openings, closures and changes in bank services
  • Be responsible for evaluating compliance with the Company’s treasury policies, guidelines and internal controls framework
  • Compile and analyze financial information to meet monthly, quarterly and fiscal year end management and to meet external reporting requirements
  • Bachelor's degree and 3 years of relevant experience or 2 year degree in relevant field and 4-5 years relevant experience or 8+ years of relevant experience
  • Strong technical skills including prior treasury management systems knowledge
  • Familiarity with SAP, Bloomberg, FireApps and FXAll preferred, proficient in Microsoft Office suite of products
  • Understanding of basic accounting principles
  • Able to analyze and resolve complex issues and problems in a sound and timely fashion
  • Able to apply advanced mathematical and financial concepts to practical situations
  • Able to interact effectively with supervisors, peers and all levels of management
  • Possesses strong organizational, analytical and time management skills, driving tasks to completion
84

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor's degree in an accounting or finance related field is required
  • Knowledge and experience in working with treasury management systems (i.e. SunGard ICMS), major banking systems (i.e. Citidirect and Bank of America CashPro); Proficient in MS Excel
  • 4+ years of experience within the field of Treasury Operations/ Cash Management / In-house banking, in a multinational company
  • Strong communications skills, both written and verbal
  • A Certified Treasury Professional (CTP) designation is preferred
  • Experience with SAP FI and IN-HOUSE CASH would be ideal. #LI-SA
85

Senior Treasury Analyst Resume Examples & Samples

  • Assists with the preparation of long range financial plans
  • Assists with the execution of company financing agreements including deal execution and maintenance as well as covenant compliance
  • Collaborates with a team to create rating agency presentations as well as prepares supporting financial analysis
  • Responsible for portions of treasury operations’ adherence with SOX compliance and adherence to board approved treasury policies
  • Ensures that all monthly and quarterly requirements are met timely and accurately. * Maintains proper internal controls
  • Collaborates on projects related to Treasury and proactively seeks to recommend and implement process improvements
  • Provides technical and analytical support to senior members of Treasury function
  • Works well independently and within groups and requires minimal supervision
  • Is comfortable and competent in working on treasury related projects involving departments outside of finance
  • Requires working knowledge of capital markets and planning
  • Strong proficiency in finance and treasury accounting
  • Proficiency with Microsoft tools (Excel, Outlook, Word and
  • Strong interpersonal and written and verbal communications skills
  • Excellent organizational and analytical skills are a must
  • Knowledge of life science, healthcare, biotech experience a plus
86

Senior Treasury Analyst Resume Examples & Samples

  • Perform capital ratio attribution analysis considering regulatory and management capital limits and thresholds
  • Contribute significantly to the annual stress testing process
  • Monitor and follow issues involving the capital management space
  • Assist with preparing presentations for Management and the Board of Directors
87

Senior Treasury Analyst Resume Examples & Samples

  • Oversee daily management of cash and debt
  • Complete required wire or account transfer transactions
  • Bank account reconciliation
  • Serve as a point of contact for internal customer support and act as a liaison between banks and the Firm for ongoing cash management issues
  • CPA preferred but not mandatory
88

Senior Treasury Analyst Resume Examples & Samples

  • Be responsible for identifying the currency risk and report monthly the Anticipated Risk Exposure Statements to the Treasury US Head Office, who manages the European cash flow hedge program
  • Maintain the hedge reports and ensure compliancy with the hedge accounting rules and regulations (FAS133)
  • Assure timely reporting of Foreign Exchange results to accounting department and the related business analysts to ensure adequate booking of the FX results in the financial systems and accounting ledger
  • Analyze and discuss foreign exchange results with Finance partners
  • Monitor the balance sheet hedge program: provide forecasts and evaluate the Foreign Exchange results
  • Monitor the foreign Exchange trading through FX All (spot contracts)
  • Be creative to run all type of FX simulations as required by Senior Management
  • Maintain knowledge of markets including relevant foreign exchange rates, interest rates and general economic trends
  • Maintain and monitors the Intercompany Loans and provide timely accruals to accounting department
  • Assist in the implementation of various Treasury Projects as required
  • Work closely together with the Sr. Cash Coordinator to support the monitoring of the Treasury reporting
89

Senior Treasury Analyst Resume Examples & Samples

  • Manage day-to-day cash management and treasury operation activities
  • Develop and maintain liquidity analysis, cashflow forecast and management reporting
  • Support, implement and analyse financial impact of debt financing and capital structure strategies, including cost of funds modeling
  • Administer financing programs
  • Develop and maintain a treasury dashboard and Key Performance Indicators (KPIs)
  • Manage interest rate and foreign exchange exposure
  • Ensure process documentation governing area of responsibility is compliant with all corporate and regulatory policies/standards and support audit activities
  • Provide required support to the ALCO, Board meetings, monthly/quarterly compliance reporting and official corporate presentations
  • Bachelor degree in Finance or Accounting, (Master Finance/Mathematics an asset), with 5 to 10 years’ experience in treasury management and financial analysis functions
  • CFA or CPA designation an asset
  • Strong proven financial analytical skills and modelisation skills
  • Strong computer skills: Advanced Excel (macros, VBA is desired), Word, PowerPoint, Bloomberg
  • Financial services industry experience will be an asset
  • Well organised, able to work under pressure and meet multiple daily deliverables
  • Team player with high energy and initiative who shows passion for quality products and processes and who adapts quickly to a dynamic environment
90

Senior Treasury Analyst Resume Examples & Samples

  • Ability to work independently with a drive to exceed expectations
  • Good communication and project management skills
  • Proficiency on Bloomberg a plus
  • Minimum 2+ years related experience
  • Bachelor's degree in Business, Finance, Accounting, or similar
  • LI-MH3
91

Senior Treasury Analyst, Card Analytics Resume Examples & Samples

  • Prepares accurate and timely financial reports for assigned business unit or department as appropriate to support reporting cycle or forecast and budget development. Consolidates, reconciles, validates and follows up on financial information provided by a variety of sources to develop forecasts and budgets. Prepares approval documentation and executes appropriate financial transactions
  • Recommends and may lead financial process improvements. May administer financial database, including user access control, system enhancements and data validation. Documents procedures and processes
  • Works with internal and external customers and vendors on service issues
  • General understanding of US Generally Accepted Accounting Principles (GAAP) in relation to investment and hedging activities
  • General knowledge of international payment systems
  • Proficiency in foreign exchange and interest rate market calculations
  • Strong knowledge of US banking system
92

Senior Treasury Analyst Resume Examples & Samples

  • Accountability & Drive for Results - Strong customer focus and collaborative skills
  • Change Agent - Ability and readiness to embrace and successfully drive/implement change
  • Functional/technical skills- Basic knowledge of US GAAP
  • 5+ years cash management experience (Minimum)
  • 5+ years of accounting or finance experience (Minimum)
  • The candidate must demonstrate ability to identify and implement process improvements, be a self-starter, and effectively interact and communicate across multiple organizations/functions
  • Experience with ERP ledgers systems is preferred (Oracle, Baan, SAP, JDE)
  • Strong MS Office skills (Excel, Access, Powerpoint, Outlook)
  • Additional Preferred Software expertise would include Blackline, Essbase, Hyperion
93

Senior Treasury Analyst Resume Examples & Samples

  • With an understanding of constraints, assist with the identification and clear and thorough analysis of certain alternatives that enhance capital accretion and allocation through optimization of the asset profile (commercial/ consumer funded and unfunded loans, investment portfolio) and retail / commercial deposit profiles and wholesale funding mix
  • Coordinate the activities of various teams from Risk Management, Finance and Key's Line of Businesses that contribute to the strategic balance sheet optimization efforts
  • Through partnership with Key’s subject matter experts, develop a strong understanding of regulations and guidance regarding capital management, FTP, liquidity and interest rate risk
  • Critically challenge and validate existing assumptions
  • Participates in the Treasury Strategy Committee (TSC)
  • Identify and contribute to opportunities to automate process to improve efficiency and create the capacity to enhance analytical work
  • The candidate must be able to manage multiple projects at the same time with the ability to develop alternative analytical approaches and processes when data is incomplete or insufficient
  • Must be able to demonstrate a proven ability to communicate and summarize the interpretation of complex alternatives in plain English to senior management and other non-technicians, both orally and in writing
  • Strong working knowledge of banking and financial services industry, including understanding of financial risk management, preferably with an understanding of interest rate and liquidity risk management concepts and market risk management
  • Ability to effectively operate in a team environment, including training and experience with soft skills such as internal partnering, appreciative inquiry and other relationship-based skills, including ability to demonstrate intellectual curiosity
  • Ability to adapt with changing priorities as situation warrants
94

Senior Treasury Analyst Resume Examples & Samples

  • Manages the day-to-day Treasury tasks/processing functions to ensure all duties are completed within established deadlines and internal controls. Provides direction and issue resolution assistance to other Treasury Analysts as needed as well as trains new department employees
  • Ensures the appropriate bank account is in place to support business needs, including maintenance of account information, flow charts, signature cards, legal documents and resolutions, etc
  • Develop and maintain various relationships with banking partners and other third-party service providers
  • Assist in evaluating, recommending, documenting and monitoring appropriate internal controls
  • Provide ad hoc financial analysis as needed, including cost/benefit evaluations of proposed enhancements to Treasury Operations and processes. Present analysis to various levels of management
  • Act as system administrator for various bank internet portals
  • Approve key electronic payment obligations (both ACH and wire transfer), including the creation of the daily cash concentration ACH files to sweep retail store deposited cash into corporate account
  • Lead implementation projects for new bank services and third-party service providers
  • Participates in internal and external projects requiring Treasury expertise to ensure thorough knowledge of all services provided by Treasury is conveyed
  • Analyze monthly bank and credit card processing fees and aggressively pursue ways to reduce or optimize the expense
  • Ensure cross-training on all Treasury Analyst tasks to enable backup as necessary
  • Provides backup for functions performed by Director, Treasury Operations
  • May be responsible for indirectly supervising other department associates
95

Senior Treasury Analyst Resume Examples & Samples

  • Cash and banking, including investments and debt management
  • Foreign currency exposures
  • Intercompany netting processes
  • Intercompany loan management
  • Leading certain global processes and projects that impact banking, financing, working capital, foreign currency management
  • Leading certain cross-functional projects related to other areas of Brady Corporation
  • Bachelor's degree in a Finance, Accounting, or Economics
  • 3+ years of experience in corporate treasury, corporate finance, or public accounting
  • Experience with Foreign Exchange (“Fx”) instruments and planning preferred
  • Experience with SAP, Hyperion, and Microsoft suite preferred
  • Experience managing projects with cross functional teams
  • Total work experience 3+ years
  • Strong financial accounting skills
  • Must possess strong customer service skills and focus
  • Must have strong interpersonal skill to manage, direct, and coach staff members
  • Demonstrated effectiveness in working with global customers
96

Senior Treasury Analyst Resume Examples & Samples

  • Prepares weekly 13-week rolling cash forecast to determine cash flow requirements
  • Analyzes monthly bank account analysis fees for accuracy and recommend where efficiencies can be gained and fees can be reduced
  • Recommends and implements improvements to current cash management processes including new banking services and products including lockbox, disbursement, investment, and deposit services
  • Updates banking services and signature cards as needed including the completion of any required banking documentation
  • Performs bank system administration for banking platforms including the setup of roles and users
  • Resolves any banking errors, issues or questions
  • Acts as back-up for daily cash positioning, daily and weekly management reporting, and the daily initiation of wire transfers and ACH
  • Acts as back-up for calculating and analyzing amounts due to third parties for administration fees and rebates
  • Assists with the administration of company stock plan
  • Assists with preparing SOX regulatory reporting
  • Ad hoc analysis and reporting as assigned
  • All other duties as requested
  • Demonstrates initiative and attention to detail
  • Ability to prioritize and show flexibility as needed
  • Excellent interpersonal skills with ability to work effectively with all levels of employees
  • Ability to work under deadline pressures while maintaining a positive work environment
  • Ability to work independently with minimal guidance but also a team player sharing project responsibilities
  • Bachelor’s degree in Finance
  • 5-7 years of relevant experience in Treasury Operations
  • Current CTP designation preferred
  • Knowledge of cash management, cash forecasting, receivables and cash process, and internal controls required
  • Strong working knowledge of Bank of America’s CashPro required
  • Strong analytical and troubleshooting skills
97

Senior Treasury Analyst Resume Examples & Samples

  • Forecast and manage cash positions (including intercompany transactions), related borrowing needs and available funds for investments
  • Maintain Cash Forecasting System
  • Ensuring that sufficient funds are available to meet on going operational and capital investment requirements
  • Review and compare the automated daily Liquidity Report to the LC/Cash Collateral Report for variances
  • Maintaining policies and procedures that impose an adequate level of control over treasury activities
  • Evaluate treasury products and services and support the Assistant Treasurer in optimizing structure and negotiating with banks and other service providers
  • Responsible to maintain unmapped banking rules in the Treasury System
  • Preform the day-to-day operational aspects of the treasury function, including wires, ACH payments and reconciliation
  • Working with Controller, General Counsel, Treasurer and others to ensure compliance with all relevant Debt Covenants
  • Responsible to compile, understanding and maintaining Quarterly Credit Agreement Calculation and Debt Ratios and run scenarios as requested
  • Assist with quarterly Pension payments and presentations
  • Assist Treasurer with board presentations and Strategic & Financing initiatives
  • BA/BS in business related field, MBA desired
  • 3-7 years progressive experience in small to medium sized organization with cash management experience
  • CTP credential a plus
  • Strong interpersonal skills for interacting with accounts, clients and upper management
  • Good planning and organizational skills to balance and prioritize work
98

Senior Treasury Analyst Resume Examples & Samples

  • Manages Cash Flow Forecasting Process Globally
  • O Responsible for cash flow forecasting globally using indirect and direct method comprised of multiple sophisticated models including
  • Bachelors or Associates degree required
  • CCM/CTP credential preferred
  • CEP credential preferred
  • Valid California Driver’s License
  • 3-5 years related experience at a public company, bank, brokerage, or equivalent combination of education and experience
  • Drive for excellence, motivated self-starter
  • Excellent problem solving abilities
  • Excellent cash flow forecasting abilities
  • Highly dependable and dedicated to team; ensure accuracy and great attention to detail with ability to thrive in a fast paced deadline driven environment with frequently changing priorities
  • Proven ability to work independently, across cultures and time zones while anticipating deliverables needed by collaborating effectively with internal and external peers who may not share the same goals
  • Good balance between business understanding and technical aptitude, with ability to connect business ideas to technical solutions and vice versa
  • Good comprehension of control environment requirements, experience with various audits (e.g. internal, external, SOX, SSAE16)
  • Excellent written and analytical skills, with a demonstrated proficiency in Microsoft Office applications (i.e., Excel, PowerPoint, Word, Outlook, Visio)
  • Expertise in Excel and linking multiple applications (Oracle, Hyperion, Essbase)
  • Knowledge of payment system transaction flows; understanding of operational, liquidity and credit risk, bank account management and general ledger is desirable
  • Knowledge of GAAP and financial statements
  • Proficiency in Oracle, Hyperion, HFM a plus
99

Senior Treasury Analyst Resume Examples & Samples

  • Establishing the daily cash position for all domestic and international subsidiaries and joint ventures
  • Maintaining proper cash forecasting and planning processes
  • Calculating the daily borrowing or payment activity for the Company’s credit facilities
  • Making foreign exchange trades for vendor payments and income transfers
  • Responsible for the accounting and reporting of all debt and interest activity
  • Responsible for the daily tracking of derivative/hedge instruments
  • Responsible for the evaluation of leases to determine operating versus capital reporting requirements
  • Performs detailed analysis on all costs related to treasury and banking services
  • Preparing analysis and other miscellaneous reporting as assigned by management
  • Minimum of three years of Finance experience in a large company environment
  • Prior Cash Management/Treasury experience is desired, but not required
  • Familiarity with manufacturing and distribution functions is a major plus
  • Strong technical and analytical skills including Microsoft Excel
  • Ability to take initiative and work independently
  • Problem solving and analytical insight
100

Senior Treasury Analyst Resume Examples & Samples

  • Develop priorities for the cash management function, and work to provide new insights which lead to creative and efficient use of working capital
  • Establish and implement a cash management structure strategy which reflects both shorter term operating forecasts and broader corporate fundamentals developed in part by application of innovative cash flow modeling techniques that optimize cash and debt resources
  • Creation of international financing and bank relationship strategy for the medium term to facilitate delivery of cash management strategic objectives
  • Provide monthly, quarterly and annual projection for interest and cash flows for incorporation into financial projections
  • Proactively manage relationships with external banks, CFO, Controller and regional business leaders
  • Bachelor degree in business related field and MBA preferred
  • Minimum of five years related experience managing the treasury function in a global business environment
  • Strong analytical skills with proven ability to operate at both the strategic and tactical level
  • Excellent communication and interpersonal skills with ability to work cooperatively and collaboratively with all levels of employees
101

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor’s degree in Finance, Accounting, Economics or Business from an accredited institution with minimum 5 years accounting/finance experience
  • Masters of Business Administration or an advanced degree/certification in business, accounting, or finance, preferred
  • High degree of individual initiative with a sense of urgency with proven ability to meet deadlines
  • Self-starter capable of working with little supervision and act as a representative of the Company to outside service providers
  • Knowledge of economics, finance, accounting, and quantitative analysis
  • Expert-level Excel and PowerPoint skills
  • A passion for investments that has led to the development of excellent quantitative and analytical skills with a firm understanding of the financial markets and investment environment
  • Detail oriented with the ability to work in a fast paced environment in order to meet critical deadlines
  • Capable of presenting in front of a group of people, both internally and externally
  • Strong system skills, experience with Bloomberg and Reval or the equivalent treasury management systems is a plus
  • Prior banking or investment operations experience
  • Interpersonal Skills: Relates well with people; builds appropriate rapport; listens effectively; uses diplomacy and tact
  • Analytical Ability/Perceptiveness: Learns new material quickly, understands abstract concepts, recognizes subtle interrelationships, and handles complexity effectively
  • Troubleshooting skills: Identifies problems and recognizes symptoms, causes and alternative solutions. Makes timely, sound decisions even under conditions of risk and uncertainty
  • Communication skills (Verbal and Written): Expresses ideas clearly in documents that have organization, structure, grammar, language, and terminology adjusted to the characteristics of the audience. Orally expresses ideas effectively in individual and group situations
  • Teamwork: Interacts with others in ways that enhance understanding and respect, perceiving the needs of others, develops smooth relationships, and effectively deals with conflict
  • Motivation and Commitment: Establishes high performance standards (including as such relates to the security of sensitive information), strives to attain those standards, takes initiative, and demonstrates commitment to the organization and the profession
  • Planning and Prioritization Skills: Develops strategies and schedules for meeting those goals, anticipating obstacles and develops alternative strategies
  • Job Knowledge:Acquires and applies knowledge, skills and experience to accomplish results. Identifies and utilizes resources effectively and responsibly
  • Business Acumen:Asks questions that take into consideration the immediate and far-reaching impact of decisions and demonstrates an ability to make connections between performance and results
  • Continuous Improvement Skill Set:Demonstrates personal commitment to continuous improvement. Uses fact-based reasoning. Pays attention to process, looks for ways to improve quality, efficiency and/or effectiveness. Questions “the way things have always been done.” Takes action to improve existing conditions, processes and results
102

Senior Treasury Analyst Resume Examples & Samples

  • Direct responsibility for daily cash management
  • Work directly with various stakeholders to deliver high quality customer service
  • Take ownership of bank account maintenance and management
  • Analyze our dynamic operating environment and adapt our infrastructure appropriately
  • Be willing to take responsibility for corporate finance initiatives that may not relate to cash management
  • ​Experience with financial modeling, financial software and databases
  • Three to five years of experience
103

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for all aspects of the company's foreign exchange program including monitoring and forecasting exposures, entering in to derivative contracts to reduce exposure where appropriate, and preparing all associated support and accounting for derivative contracts
  • Support team members in key routine activities such as regional cash positioning, global intercompany settlement process and the publication of our Quarterly Treasury Report
  • Compile and analyze financial information to meet monthly, quarterly and fiscal year-end management reporting requirements including treasury-related SEC footnote disclosures
  • Work with financial service providers to coordinate international account openings, closures and changes in bank services
  • Collaborate with European shared service center in Ireland on cross-functional objectives
  • Assist in evaluating compliance with the Company's treasury policies and internal control framework
  • Maintain database of bank accounts and authorized signatories
  • Consistently demonstrate high standards of integrity by supporting Cognex Core Values
104

Senior Treasury Analyst Resume Examples & Samples

  • Overall Program Management - Manage and oversee the insurance program for property, casualty, and liability coverage for all locations globally
  • Claim Management - Serve as the primary contact for all insurance-related questions, investigate issues as necessary and provide responses to ensure claims are settled timely and most advantageously for the Company
  • Policy Renewals - Accumulate and analyze data for policy renewals; explain changes in data; focus on achieving cost savings while maintaining appropriate total company limits and coverage
  • Maintain Relationships - Assist in maintaining relationships with broker and insurance carriers, explain changes in business and consider resulting impact on the Company's distribution of risk
  • Document Review - Review insurance portion of sensitive company documents such as leases and other contracts, provide modified language, if necessary, to ensure the Company is adequately protected
  • 5+ years of experience in corporate treasury, corporate finance, or public accounting
  • Total work experience 5+ years
105

Senior Treasury Analyst Resume Examples & Samples

  • Manage and administer hedging platform and execute on hedging strategies, which primarily include FX, but also some commodity and interest rate exposures
  • Manage global intercompany lending platform, with a focus on international subsidiaries
  • Oversee global accounts receivable securitization and factoring programs
  • Manage equipment leasing platform, including lease vs. buy analysis
  • Oversee debt and financial compliance reporting (e.g. FATCA, KYC, AML, Dodd Frank)
  • Work with Assistant Treasurer to accurately forecast and optimize global cash position
  • Perform regular financial and economic analyses (e.g. ROIC, capital structure optimization, WACC)
  • Assist in developing and executing capital markets and liquidity strategies
  • Prepare presentation materials for the board of directors and senior executives
  • Oversee the preliminary review, negotiation, and placement of bilateral bank lines
  • Work closely with operations on various projects
  • Evaluate and develop trade and structured finance programs
  • Interface with banks and other external parties
  • Act as back-up to cash management/operations team
  • Support Assistant Treasurer on various other initiatives and ad hoc projects
  • The ideal candidate will have 4+ years of professional experience in treasury, banking, or another related field. Consideration will be given to fewer years of experience if highly relevant
  • Strong financial acumen and existing skill sets, including modeling
  • Ability to work in a fast paced environment with competing priorities and new demands
  • Motivated self-starter with good judgment and the ability to effectively interface with all levels within the company ranging from staff employees to C-Suite executives
  • Familiarity with debt capital markets, syndicated loans, and fixed income securities a plus
  • Proficient with MS Office suite, including advanced MS Excel skills; familiarity with financial software a plus (e.g. Bloomberg)
  • Familiarity with/ability to read and understand legal documents
  • Working knowledge of hedging concepts and relevant derivative instruments, familiarity with hedge accounting a plus
  • Experience with ERPs, particularly SAP and/or ORACLE a plus
106

Senior Treasury Analyst Resume Examples & Samples

  • Assist in the management of financial risks including FX exposure
  • LI-SE1
  • 2 to 5 years of Treasury, FP&A, Financial analysis, Accounting or Auditing experience
  • Exposure to currency hedging would be beneficial
  • Demonstrated competence in Microsoft Office applications specifically Excel-based modeling skills - Experience with Oracle Financials a plus
  • Demonstrated business acumen
107

Senior Treasury Analyst Resume Examples & Samples

  • Understand how various NIKE business models generate cash flow
  • Understand each operating entity’s cash conversion cycle and translate that into recommendations to optimize working capital
  • Understand complex intercompany relationships and be able to capture the resulting balances and settlements in cash flow forecasts
  • Validate actuals and perform actual to forecast variance analyses on a regular cadence
  • Develop forecasts and reports to support decisions at the senior management level
  • Provide high level summaries and detailed explanations for your forecasts, reports and variance analyses
  • Develop and track Key Performance Indicators (KPIs)
  • Report and analyze bank fees
  • Actively develop and support continuous improvement efforts
  • Bachelor’s or Master’s degree in Finance, Accounting, Economics or other business related field; MBA degree strongly preferred
  • Over 3 years of recent experience at the Global or Regional Headquarters of a publicly traded multinational company with direct experience in reporting and analytics
  • Basic understanding of general accounting principles and working knowledge of intercompany funding practices, transfer pricing regimes and application of internal FX rates. Experience implementing a cash flow forecasting process a plus
  • Experience conducting RFIs and RFPs for transaction service providers (including banks) and/or experience conducting recurring bank fee analyses
  • Advanced computer skills with an emphasis on Microsoft Excel and PowerPoint; Experience using SAP a plus, with data extraction experience strongly preferred
  • Experience working regularly with cross functional teams (at both a corporate and operating entity level) with the ability to network and influence across several groups
  • Strong work ethic and team player mentality
  • Excellent problem solving, critical thinking and analytical skills with strict attention to detail
108

Senior Treasury Analyst Resume Examples & Samples

  • Perform daily cash positioning for Non-Insurance Companies
  • FHLBNY Management
  • Forecasting for Subsidiaries and non-insurance companies
  • FABN Operational Management
  • Backup to NRO Daily Cash Operations
  • Well organized and detail oriented with a high degree of accuracy
  • Knowledge of Treasury management and banking systems a plus
  • Knowledge of PeopleSoft a plus
  • Solid understanding of financial analysis
  • 1 to 2 years relevant experience
  • Treasury and banking system support experience a plus
109

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for the documentation of intercompany dividends, capital contributions and loans
  • Generates monthly intercompany and external debt reporting schedule for distribution to accounting, finance and tax teams
  • Manages interest payments of intercompany loans
  • Reviews bank fee analysis on a monthly basis to ensure accurate charges related to all banking activity
  • Supports activity related to establishing ISDA documentation and new financial derivative counterparties internal setup as well as monitoring credit profiles of financial derivative counterparties
  • Ad hoc support of Treasury team in capital markets activity including interaction with banking advisors and rating agencies
  • Reconciles prior day cash activity as needed and reviews prior day cash summary report prior to distribution to senior management
  • Assists with executing daily payment runs within SAP for all applicable entities
  • Primary backup for monthly intercompany settlement process
  • Performs all SAP treasury processes and functionality, serving primarily as backup. Works closely with various levels of corporate accounting to ensure treasury and accounting processes are harmonized
  • Self-starter with ability to progress and improve processes with limited managerial direction
  • Proficient in intermediate Excel skills such as pivot tables, lookups, data tables, etc
  • Exceptional skills and strong background in building and manipulating financial models
  • Experience working with Business Planning and Consolidation (BPC) a plus but not required
  • Functional SAP treasury experience
  • Two or more years of experience in corporate finance required
  • Ability to interact professionally with people at all levels within the company
110

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for managing the company’s bank accounts, cash flow, the debt/liquidity position of the company including short and long term forecasting; and manage all aspects of foreign exchange risk and interest rate risk
  • Forecast cash flow positions, related borrowing needs, and available funds for investment
  • Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
  • Use hedging to mitigate financial risks related to the interest rates on the company’s borrowing, as well as on its foreign exchange positions
  • Monitor operating cash requirements, track cash flow and develop cash forecast
  • Establish and maintain relationships with banks and credit rating agencies
  • Ensure debt covenants compliance, determining the company’s ability to meet financial terms of contracts
  • Maintain an efficient system of policies that adequately control treasury activities and compliance with relevant regulations
  • Work on special assignments as they arise
  • Must have a thorough understanding of derivatives, hedging, investments, bank account management and international funds flows
  • As a key advisor to the CFO, must be a reliable source of industry knowledge, market intelligence, and financial concepts and approaches
  • Proven working knowledge of banking industry rules and regulations
  • Knowledge of financial products, especially credit cards, is preferred
  • Proficient with financial software systems and MS Office
  • Must be a strong communicator capable of presenting oral and written communications in a well-organized and compelling manner and be comfortable working with executive management, external stakeholders and the Board of Directors
  • Strong attention to detail and problem solving skills
  • Bachelor’s degree from an accredited college or university is required in finance, accounting or economics
  • Certified Treasury Professional (CTP) preferred
  • Public accounting experience is preferred
  • Minimum of 6-8 years of experience working in the following disciplines: treasury and corporate finance, together with knowledge of all financial markets, foreign exchange markets and corporate transactions
  • Must be at least 18 years of age
111

Senior Treasury Analyst Resume Examples & Samples

  • Prepare repetitive payment templates
  • Perform analysis on payment flow metrics and banking partner SLAs
  • Assist with the development and preparation of reporting packages related to KPI metrics
  • Provide leadership and guidance to other team members
  • Ensure compliance with internal and external controls, policies, and procedures to consistently deliver high-quality, accurate output
  • Support audit requests
  • Support broader Treasury Operations initiatives
  • 5+ years of related treasury or finance experience in a public or private company
  • In-depth knowledge of cash collections and disbursements principles, methods, tools, and techniques
  • Strong understanding of banking infrastructure, bank communication, and payment clearing systems
  • Strong computer skills with experience using MS Excel and MS PowerPoint; Treasury workstation experience preferred
  • Strong analytical, interpersonal, communications, time management, and project management skills
112

Senior Treasury Analyst Resume Examples & Samples

  • Manage short term liquidity across European entities. Build forecasts, work cross departmentally to align funding requests and settlement
  • Manage local EU new business project management, helping to launch and fund new businesses quickly to benefit our customers
  • Developing and performing general business and financial analysis to deliver relevant data and key performance indicators on the health and liquidity of internal business units
  • Ad hoc treasury projects/analysis
  • Proven ability to individually deliver results managing complex and/or ambiguous projects
  • 4+ years of experience in Treasury (preferred), accounting, FP&A or similar field
  • Strong proficiency with Excel. Experience and comfort developing and presenting analytics from large data sets
  • Comfortable with financial statement analysis
  • MBA, CFA, CTP, CPA, or similar
  • Treasury, Accounting, FP&A experience in a large multinational corporation
  • Experience with data models using Cognos BI software
  • Demonstrated understanding of relational data and using analytics to drive solutions
  • Strong internal customer focus
  • Proven ability to use data to influence others with competing priorities
  • Independent and entrepreneurial experience showing the ability to work with minimal direction in a fast-paced and ambiguous environment
  • An exceptional bias for action, emphasis on speed
113

Senior Treasury Analyst Resume Examples & Samples

  • Maintains and develops daily global cash forecast and performs monthly reconciliations
  • Performs actions necessary to establish a daily cash position for the company
  • Execute any funds movements that are required in compliance with company policies
  • Identify and carry out any actions required to support investing or borrowing needs
  • Works with the Treasury Director/Manger to manage and maintain cash management bank relationships
  • Capital structure optimization
  • Capital markets analytics
  • Financial risk management (FX & interest rate)
  • Weighted average cost of capital (domestic & international)
  • Treasury policies, practices and compliance
  • Treasury management reporting
  • An understanding of Treasury capital structure, financial policy and financial risk management (FX and interest rate)
  • Experience executing capital markets transactions and credit agreement negotiations
  • Understanding of Rating Agency financial modeling methodologies
  • Share repurchase and dividend program design, implementation and execution
  • Experience with Bloomberg and SAP
114

Senior Treasury Analyst Temp Resume Examples & Samples

  • Serve as Treasury Operations cash lead as follows
  • Bachelor's degree in finance, accounting, or related field
  • Minimum of 3 years of progressive experience in treasury, finance, or accounting
  • Knowledge of bank products, domestic bank/cash management products
  • SunGard – Integrity Treasury workstation or other financial system experience is beneficial
  • Prior experience in healthcare or other complex multi-division company preferable
  • CTP certification is desirable
115

Senior Treasury Analyst Resume Examples & Samples

  • Support the Company's investments program
  • Evaluate short term holdings and returns to make recommendations to management
  • Analyze portfolio structure and risk including duration, interest rate and credit risk, and security allocation
  • Assist in developing in house investments management strategy and program
  • Work with accounting team to ensure the general ledger is updated timely with proper accounting for investments, foreign currency and other financial risk related transactions
  • Investment and FX portfolio accounting and regulatory compliance: prepare month end journal entries, draft 10Q and 10K schedules, audit schedules, quarterly compliance reporting, year-end tax reports
  • Prepare investments and FX management reporting and presentations
  • Assist in compliance with regulatory requirements (2a-7, Act 40, DF,EMIR, MIFID), SOX controls, maintain records and provide test data as requested
  • Keep on top of current market trends and industry developments to help Company navigate dynamic capital markets landscape
  • Work on strategic projects to build out capital markets infrastructure
  • Support the Company's FX hedging program (trading, risk monitoring, reporting)
  • Implement best practices and drive process improvement
  • Handle ad-hoc Treasury projects and presentations for Treasury
  • 4+ years of related finance work experience, including 2+ years of Treasury related work
  • Excellent knowledge of Microsoft Excel, PowerPoint, Word, Visio, Clearwater, FXall, Reuters/Bloomberg is a plus
  • Strong knowledge of Oracle/Hyperion/Smartview or related financial planning systems
  • Strong understanding of global capital markets and corporate finance
  • Strong knowledge of Investments and FX related accounting (ASC 320, ASC 820, ASC 830, ASC 815)
  • Superb work ethic - enthusiastic, self-starter
  • Resourceful, creative problem solver with a "can-do" attitude
  • Excellent collaboration, communication, presentation skills
  • CPA/CFA designations are a plus
  • Master's Degree, or equivalent, in a related field
  • Multi-national experience is highly desirable
  • Ability to drive results in a fast-paced/deadline oriented environment
116

Senior Treasury Analyst Resume Examples & Samples

  • Perform daily corporate cash management, investing and forecasting activities
  • Prepare quarterly and annual investment reports for SEC filings, State and Federal Regulatory Agencies and the Board of Directors
  • Provide expertise to insurance subsidiaries on statutory investment accounting principles and NAIC reporting rules and regulations
  • Manage debt covenant compliance and certifications
  • Complete paperwork for new accounts and letters of credit, communicate needs to banking partners and manage implementations
  • Monitor bank fees and identify opportunities for savings and automation
  • Maintain treasury policies, procedures and internal controls, and recommend and implement new processes where appropriate
  • Responsible for ad hoc Treasury and capital market research, reporting and projects as assigned by Treasurer or finance stakeholders
  • Manage subsidiary intercompany settlement process to ensure corporate liquidity
  • Serve as the “go to” person for Treasury Analyst I’s and II’s on any questions or issues
117

Senior Treasury Analyst Resume Examples & Samples

  • Participate in the planning, optimizing and securing the company’s capital requirements
  • Managing and supporting compliance with MSI debt portfolio and corporate credit facility
  • Assisting and developing relationships with banks, rating agencies and research analysts
  • Maintaining up-to-date capital plan including cashflow forecasting with FP&A team
  • Overseeing pension plan funding, asset allocation, and risk exposures
  • Draft quarter / annual Treasury reporting packages i.e. Disclosure / Board
  • Executing, tracking and reporting share repurchase transactions
  • Managing global liquidity needs and international cash portfolios / repatriation
  • Developing and managing an interest rate risk management strategy and policy
  • Perform various Treasury Sox control testing
  • Executing foreign exchange risk management program which includes fair value (BS) hedge and cash flow hedge
  • Coordinate with regional controllers and finance team to obtain insight on financial projections in local currency and mapping into overall foreign exchange management strategy?
  • The individual should be able to work cross functionally with key internal stakeholders (including tax, accounting, FP&A and operating finance teams) as well as external stakeholders (financial institutions, consultants etc.) and be able to lead corporate finance projects i.e. supplier financing, credit card, etc. with limited oversight
  • Operation / administration of treasury management system
  • Assisting global liquidity and international cash portfolios (cash positioning, monthly close)
  • Design Implement various Treasury policies / desktop procedures
  • Manage eBAM software application ( authorized signer mandates, KYC bank documentation, and e-banking audits)
118

Senior Treasury Analyst Resume Examples & Samples

  • Confirm and settle foreign currency and commodity trades
  • Execute domestic and foreign currency funds transfers
  • Administer and oversee the monthly inter-company multi-lateral netting, as primary or backup
  • Provide support to administer inter-company loan data, reporting, and documentation
  • Administer the disbursement files as a backup, including issuance of payments
  • Works directly with company financial institutions to identify appropriate bank services/fees, establish and maintain bank account activity
  • Review general ledger cash accounts and cash clearing accounts and resolve any un-reconciled differences
  • Oversees proper internal control of cash assets; respond to audit inquiries in a timely manner; corresponds with banks to initiate or clarify adjustments
  • Provides analytical support and expertise for the development of liquidity strategies and banking structures
  • Utilize and maintain treasury software applications
  • Provide analytical support for inter-company interest forecasts in support of the Estimated Tax Rate (ETR) calculation and cash flow forecast Prepare journal entries to record cash transactions, as needed
  • Prepare journal entries to record cash transactions, as needed
  • Monitor and manage the communications between various internal and external people regarding treasury activities, questions or problems; respond and resolve inquiries in a timely manner
  • Support the department to prepare and/or provide analytical support for the treasury department cost control/budget process
  • Lead and facilitate certain treasury projects, as needed
  • Serve as a backup to other financial services activities
  • All duties or treasury projects as assigned
119

Senior Treasury Analyst Resume Examples & Samples

  • Support for Global Liquidity Manager, heavily involved in daily liquidity management of the Group and Intercompany funding activity
  • Close cooperation with regional and country level teams around the world
  • Involved in setting up Global KPIs in the field of cash management and ensuring these objectives are met
120

Senior Treasury Analyst Resume Examples & Samples

  • Monitor daily and monthly reporting requirements to ensure department deliverables are met
  • Support analysts in the resolution of cash and/or security breaks in a timely manner though use of effective communication skills
  • Guide team in resolving non-routine problems and escalate supervisor and/or manager. Ensure timely resolution of these issues considering impact to other areas and sites
121

Senior Treasury Analyst Resume Examples & Samples

  • Quantify and analyze company-wide foreign currency transaction, economic and translation exposures
  • Prepare forecast of foreign currency positions and requirements
  • Summarize findings and recommend hedging or structural solutions to mitigate foreign currency risk
  • Execution of risk mitigation strategy, e.g. trading and supporting middle and back office operations while maintaining segregation of duties
  • Perform variance analysis and summary on forecasted positions and actual results
  • Report on hedge positions and maintenance of documentation related to ASC 815
  • Collaborate with Corporate Accounting on appropriate accounting for hedging transactions
  • Perform financial analysis related to capital structure and cashflow/balance sheet planning
  • Consolidate and analyze global cashflow forecast
  • Keep abreast of macro economic and global tax issues that would impact currency risk profile and intercompany settlement transactions
  • Support coordination and execution of formal intercompany settlement process (netting)
  • Support delivery of global cash management services at foreign affiliates
  • Support cash operations
  • Manage or support special projects and other activities to support the business
  • Execute on executive reporting that is designed/implemented by Corporate Treasury
  • Maintain key models that have been designed, such as EPS at risk models, hedge performance and other highly visible executive tools
  • Strong financial analysis skills and fundamental understanding of financial statements
  • High proficiency in Bloomberg
  • Ability to communicate effectively across many cultures and countries, i.e. over 50 material markets across the world
  • Ability to trade complicated and numerous currency pairs, i.e. over 30 currency pairs
  • Solid skills with Microsoft Excel
  • Demonstrate ability to concisely express treasury/financial concepts effectively across different levels of the financial and non-financial organization in oral and written communication
  • Ability to proactively initiate action and follow through with minimum supervision
  • Aware of implications treasury activities may have on tax and accounting
  • Knowledge related to application and reporting of FX accounting (ASC 815, FAS 133, FAS 157)
  • 5+ years’ experience in multi-national corporate treasury
  • 2+ years direct experience in foreign currency hedging analysis and execution
  • Hyperion skills
  • Masters of Business Administration
122

Senior Treasury Analyst Resume Examples & Samples

  • Perform daily cash desk function including retrieval of daily bank reports, recording transaction information in treasury activity reports, establishing daily cash position, execution of funds transfers, and facilitating accounting for daily cash activity. Develop and execute plan to automate major portions of daily cash desk function
  • Act as liaison between and company and banks with regard to cash management services, including monitoring pricing for services, evaluating service requirements, maintaining bank account data, etc
  • Monitoring and reporting on compliance with debt agreements, including calculation of financial covenants
  • Maintain database of all intercompany loan information, including all documentation, and work with Controller’s group to ensure that accounting for loans is timely and accurate
  • Production of consolidated cash forecast in collaboration with business units
  • Bank Fee analysis
  • Proficiency required in Excel, Word, and Powerpoint
  • Requires strong organization, communication, and customer services skills
123

Senior Treasury Analyst Resume Examples & Samples

  • BA with a focus in Finance, Economics, or Accounting preferred. MBA considered
  • 2-4 years of experience in Treasury, Corporate Finance, Investment Banking, Investment Management or Management Consulting. Accounting and/or pension experience a plus
  • Financial modeling, problem solving and project management experience; demonstrable leadership skills and ability/experience in influencing others; strong oral and written communication skills, including an ability to listen and to articulate complex concepts in a manner that is audience appropriate
  • Highest standards of accuracy and precision; highly organized; comfortable working in a matrixed environment
  • High level of proficiency with MS Excel, PowerPoint, and Word. Knowledge of Bloomberg, FX All, SAP and on-line banking systems a plus
124

Senior Treasury Analyst / Treasury Manager Resume Examples & Samples

  • Experience or working knowledge of derivative trading or securitization desired
  • There should be demonstrated experience in financial modeling, monthly reporting to banks, or reconcilement of reporting with accounting
  • Strong analytical thinking, financial analysis, and communication skills
  • Strong technical experience / PC skills with spreadsheet, financial, and database software applications
  • Experience with Bloomberg or other market pricing tools desired
  • Computer literacy: MS Word, Excel, Access, and PowerPoint required
  • Strong leadership, analytical, organization and interpersonal skills
  • Ability to manage multiple priorities in a fast paced environment
  • No Relocation offered
125

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor's in Finance or Economics
  • 3-5 of progressive Treasury experience, preferably at a large company
  • Strong grasp of Bloomberg Terminal, Excel, and Power Point
  • Ability to develop and execute capital markets and liquidity strategies
126

Senior Treasury Analyst Resume Examples & Samples

  • Bachelors degree required. MBA and/or CFA is a plus
  • Experience with Bloomberg, Quantum, ReVal and Hyperion Financial Management a plus
  • Ability and desire to become a well-rounded and highly qualified Treasury professional
  • Focused, career-minded, eager to learn and deliver results
  • Demonstrated leadership behaviors
127

Senior Treasury Analyst Resume Examples & Samples

  • Have a master's degree in finance, economics or similar
  • Have 3-5 years' experience from either the financial sector or a corporate treasury
  • Have a proactive and systematic approach to your work
  • Speak and write English fluently
  • Thrive in an international environment and are able to create good relationships with your stakeholders
128

Senior Treasury Analyst Resume Examples & Samples

  • Assist in the monitoring and forecasting the cash liquidity position
  • Monitor and update Cash and loan balances daily
  • Monitor and calculate interest expense monthly
  • Develop and maintain foreign exchange forecasts
  • Execute foreign exchange, ACH and wire payments in support of Treasury
  • Assist in the preparation of materials and schedules for income tax payments and returns
  • Assemble and Prepare Documents for Insurance Renewal
  • Prepare and process weekly and monthly aging reports for Accounts Receivable
  • Process ACH, Check, SUA, and wire payments
  • Load Positive Pay files in JPMorgan Access
  • Review daily check exception reports
  • Monitor and analyze banking and credit card fees
  • Assist in filing monthly and quarterly State and Local Tax and Business Filings for Treasury and Payroll
129

Senior Treasury Analyst Resume Examples & Samples

  • Assist in evaluating and communicating risks to Net Interest Margin (NIM) arising from unanticipated movements in interest rates
  • Assist in the development of balance sheet strategies under a range of economic and interest rate scenarios to guide NIM stability over the long-term and across the business cycle
  • Monitor and deliver timely competitive and market insights to support management decision making
  • Proactively engage with a wide range of business partners to help promote business partners’ success as a first point of contact between Treasury and the broader organization
  • Assist in the development of key strategic communications and presentations to a broad range of stakeholders including Board of Directors, Executive Committee, Management Committee, ALCO and Balance Sheet Committee, Rating Agencies, and Regulatory Agencies
  • Promote a risk-aware culture that proactively seeks to mitigate risk where appropriate; ensure efficient and effective risk and compliance management practices by adhering to required standards and processes
  • 5-7 years of experience in a Bank, Financial Services or a Consulting firm
  • Prior experience with ALM systems such as QRM or Bancware
  • Strong analytical, data management, and modeling skills
  • Prior experience in Treasury, Finance, or Risk Management would be helpful, particularly in the areas of asset/liability management, capital and liquidity management, funds transfer pricing or capital allocation
  • Experience with Bloomberg and SNL database
  • Lean, Six Sigma and/or demonstrated process improvement knowledge a plus
130

Senior Treasury Analyst Resume Examples & Samples

  • Aggregating exposure data and execute spot and forward trades on a routine basis. Upload all trade data into FX trading and accounting applications and facilitate settlements in cases where needed
  • Analyze FX forecasts and perform extensive analysis of derivative hedging instruments and evaluate impact on the hedge portfolios and the Company’s performance
  • FX accounting, reporting and compliance mandates including Dodd-Frank, EMIR and Sarbanes- Oxley
  • Implementing enhancements in automation and straight through processing, specifically as it relates to the FX workflow beginning with exposures continuing through trading, settlement and summary reporting. Work with IT counterparts to automate these processes. Assist with system upgrades, user acceptance testing and related treasury software implementations
  • Requisite legal and compliance documentation including ISDA & CSA contracts and collateral management agreements. Familiarity with banking systems and payment applications
  • Coordinating any requisite reporting related to trading activity, treasury related disclosures and management reporting
  • Financial planning and analysis including quarterly forecasting, annual budgeting, scenario planning and simulation, variance analysis and presentation to senior management of SunPower’s yieldco
  • Bachelor’s Degree in Business, Finance, Accounting, Economics or related field with at least 3 years of relevant experience
  • Strong technical skills in Excel and treasury applications
  • Strong analytical, problem solving and treasury accounting skills
  • Working knowledge of Oracle preferred but not required
  • High level of initiative, motivation and curiosity
  • Emphasis on consistently producing high quality results
  • Ability to work effectively on a dynamic team in a fast-paced environment
  • Advanced credentials, such as MBA, CTP, or CFA
131

Senior Treasury Analyst Resume Examples & Samples

  • Assist in the conversion of Aptean’s banking structure for EMEA and APAC. Provide documentation to banking partners in a timely manner, establish users in the online banking platform, control access, establish entitlements and evaluate approval limits. Maintain domestic and International banking relationships
  • Analyze and convert treasury activities of newly acquired entities
  • Enhance Aptean’s cash flow forecast model and provide cash flow analysis
  • Assist with daily cash management duties. Perform daily bank functions including wire transfer set up or approval, deposits, stop payment requests, etc
  • Ensure the company remains in compliance with its debt agreements: maintain a thorough understanding of the debt instrument, update debt compliance reports, analyze borrowing capacity and forecast covenant compliance
  • Additional duties include monitoring bank and credit card fees to determine methods for reducing processing expense
  • Perform ad hoc reporting projects and research as required
  • 5 – 7 years of related experience with a Bachelor’s degree
  • A background in finance and/or accounting
  • Advanced spreadsheet and database skills
  • Self-motivated and the initiative to operate independently
  • Candidate must have the maturity to work in a fast paced environment while maintain quality of work and effective working relationships with internal and external customers
132

Senior Treasury Analyst Resume Examples & Samples

  • The Sr. Treasury Analyst shall be responsible for performing highly complex, technical Treasury –related functions at an advanced level
  • Performs complex cash management and cash forecasting duties, as required
  • Creates, modifies and maintains special project and securitization models, as required
  • Identifies efficiency and cost saving opportunities within the department
  • Acts as primary backup for Servicer Certificate Report creation and distribution process
  • Executes procurement of funds and monitors investments, collections and cash balances
  • Acts as a key liaison to and performs relationship maintenance activities with various financial institutions and business channel partners
  • Provides financial reporting support including statement of cash flows, covenant testing, compliance reporting, financial statement forecasting and financial statements reviews for more complex debt facilitates/warehouses, etc
  • Performs complex departmental tasks, as required, such as creating new financial instrument models and related updates to the treasury management (ICMS) system, frequent work associated with more complex debt facility/warehouse drawdowns, repayments, asset repurchases, etc
  • Acts as a key liaison with Capital Markets and other internal groups on new facility deal negotiations, legal document reviews for recurring reporting and compliance requirements, etc. independently with little or no supervision
133

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for maintaining SOX documentation and working with both internal and external auditors on SOX testing as well as quarterly or annual audit related to cash management and banking administration
  • Provide backup support in areas of fixed income investment, corporate insurance, capital market activities etc
  • CTP preferred
  • Experience with various banking platforms and treasury systems
  • Experience working on international treasury projects
  • Exceptionally organized and detailed-oriented
  • Highly effective interpersonal, written and oral communication skills
  • Highly action-driven and able to meet deadline and deliver results
134

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for smooth and efficient functioning of letters of credit program, in compliance with company policy and department guidelines
  • Manage letter of credit lines and ensure efficient and optimal utilization to minimize overall cost to the company, and accurately updated in LOC database
  • Communicate with banks on issuing, amending and cancelling letters of credit and reconcile bank fees for payment
  • Set cash position and ensure wires reviewed, approved and released in compliance with company policy and standards
  • Respond to division requests to open, update and close bank accounts and ensure paperwork consistent with company policy and banking KYC requirements
  • Manage Lennar’s merchant services program and ensure fees are reconciled monthly
  • Ensure bank accounts opened per policy and updated in Treasury workstation
  • Responisble for updating entitlements in banking platforms
  • Support ad hoc finance reporting projects as requested by the Sr. Assistant Treasurer, Treasurer, VP-Finance, Controller and CFO
  • Manage corporate card programs, including issuance/cancellation of Purchase cards, Corporate T&E cards and the ePayables program
  • Participate in the national rebate programs as required
  • Prepare monthly and quarterly internal reports for senior management
  • Prepare monthly projections of bank account balances and perform quarter cash estimate reporting functions
  • Special Projects and other duties as assigned by supervisor
  • Bachelors Degree in Finance, MBA preferred
  • 5 or more years Corporate Finance, Banking or Treasury experience
135

Senior Treasury Analyst Resume Examples & Samples

  • Improve and develop automated cash forecasting model(s)
  • Establish and create a global financial risk management framework
  • Design and maintenance of a global debt covenant compliance calendar and process
  • Evaluate treasury technology and work with FP&A to evaluate potential systems
  • Responsible for the preparation of daily, weekly and monthly cash management and reporting
  • Responsible for the preparation of monthly journal entries related to cash transactions and bank reconciliations
  • Responsible for maintaining the Company’s liquidity schedule to ensure accuracy for free cash flow strategy and cash deployment
  • Initiate funds transfers through internal (funding internal accounts) and wire transactions
  • Analyze cross-border financing requirements and work closely with treasury, operations and tax to ensure cash needs are met and cash repatriation strategies are efficient
  • Partner effectively with various internal functions within the business including those in remote locations, as well as external parties such as auditors and lenders
  • Responsible for other ad hoc initiatives as identified by the Treasury Manager and/or the Director of Treasury as needed
136

Senior Treasury Analyst Resume Examples & Samples

  • Act as a champion of change leading the integration efforts of incorporating the team and processes of the newly acquired US joint venture into Molson Coors Global Treasury
  • Consolidate and manage short-term liquidity forecasts for North America and US Headquarters; analyze and investigate cash flow trends, exceptions, and variances to prior forecast. Utilize cash flow forecast to provide guidance and execute on cash optimization decisions including issuing commercial paper and utilizing short-term investments
  • Act as lead system administrator for regional banking platforms and outsourced HP Service management. Accountable for overseeing and executing HP and banking activities related to: bank account management, guarantees for local entities, troubleshooting for banks, Accounting requirements, treasury management system, bank and fee rationalization, and other duties as needed
  • Support North American intercompany loans tracking and payments, cash repatriation efforts, commodity & foreign exchange trade settlements, working capital initiatives, and presentation materials to leadership
  • Support ad hoc treasury requests and ensure our internal processes are being followed while identifying areas of improvement
  • 1-3 years of experience in global treasury, bank back office or other analytical role. Strong attention to detail is required
137

Senior Treasury Analyst Resume Examples & Samples

  • Contribute to driving liquidity solutions which provide scalable funding mechanisms
  • Bank relationship management
  • Responsible for supporting Shared Services, Accounting, Tax, and Global Payments initiatives
  • Assist in Treasury control procedures to ensure regulatory compliance and promote a strong control environment
  • Assist in mitigating banking fees and transaction costs of Treasury activities through the periodic review of global bank account analysis statements
  • Ad hoc Treasury projects/analysis
  • Must possess strong process development and documentation skills
  • Ability to successfully manage multiple competing priorities simultaneously
  • Treasury experience with multi-national corporation
  • Exceptional organizational, interpersonal, written, and oral communication skills
  • Comfort working in a fluid and oftentimes ambiguous environment; capable of making adjustments in both day-to-day and large-scale activities based on new information and developments
  • Aptitude for leading teams; ability to influence and galvanize others to follow you toward a solution
138

Senior Treasury Analyst Resume Examples & Samples

  • Facilitates Treasury Operations and Treasury/Financial Analysis for the Company
  • Participates as a member of a treasury team that is motivated and driven to succeed
  • Performs the daily cash management operations and its various operating entities. Implements cash management best practices and procedures to ensure efficiency, enhance internal controls, and minimize fees
  • Analyzes activities and provide recommendations to Vice President of Treasury Operations and Senior
  • At least 5 years’ experience in Treasury Operations
  • Excellent interpersonal skills needed to deal effectively with people at all levels of the organization around the world
  • Willing to work long hours including weekends and holidays and willing to take international travel occasionally
  • Bachelor’s degree in Finance, Accounting or a similar field, MBA preferred
139

Senior Treasury Analyst Resume Examples & Samples

  • Perform data integration from other systems within the Bank into the Bank’s Asset & Liability functions. Perform statistical analysis of deposits, loans, and investments
  • Interface with upstream correspondent bank and intra-bank users of correspondent services to insure maintenance of management and functional signature cards. Analyze monthly account analysis statements to monitor charges and optimize funds management
  • Generate various Treasury reports to provide management information as well as policy and regulatory compliance. Assist in monthly production of ALCO, Funds Management, and Foreign Exchange reports for use by management as well as outside auditors and regulators
  • Execute upstream Fed funds transaction to help with funding the bank and/or to test lines of liquidity. Assist in wholesale bank funding functions
  • Coordinate the management of public fund deposits and pledging with Treasury Management and Control
  • Assist with the monitoring of deposit rates and rate variance reports on a weekly basis. Development of additional reporting items and completion of special projects as needed
140

Senior Treasury Analyst Resume Examples & Samples

  • Oversees cash reconciliation and positioning performed by Treasury Analyst
  • Prepares weekly and quarterly cash forecasts for individual entities and global summary
  • Approves all treasury payments and settlements prepared by Treasury Analyst
  • Compiles debt compliance reporting on a monthly and quarterly basis, including borrowing base, covenants, etc
  • Ensures all treasury transactions are properly maintained in the treasury management system (TMS - FIS Integrity)
  • Serves as super-user on TMS to support any functional questions from global Treasury team
  • Leads treasury technology special projects such as SWIFT connectivity, Bloomberg/Reuters market data, additional functional global rollout of other treasury systems, etc
  • Prepares monthly and quarterly reporting for treasury activities
  • Assist Assistant Treasurer with identification of global foreign exchange exposures using FiREapps and SAP
  • Acts as backup for execution of FX transactions
  • Documents all treasury processes for departmental continuity
  • Supports Treasury SOX compliance
  • Supports overall relationship management with commercial banks and other third party service providers
  • 3-5 years of experience in Treasury
  • ERP and TMS knowledge
  • Good interpersonal and problem solving skills
  • Pro-active attitude, pragmatic and team player
  • Able to handle several tasks simultaneously
  • Chemical industry or manufacturing background
  • SAP and FIS/SunGard Integrity knowledge and experience
  • Experience working in a global and cross-functional environment
141

Senior Treasury Analyst Resume Examples & Samples

  • Reviews cash transactions daily, approving and releasing electronic transfers. Supervises access to bank transactional authorities. Reviews preparation of daily cash activity report. Reconciles general ledger accounts. Analyzes and books entries for debt issuances
  • Supervises preparation of cash flow projections. Prepares quarterly investment report. Compiles cash reports for annual arbitrage reporting. Assists in preparation of comprehensive annual financial report
  • Reviews investment and interest activity for investment pool accounts, agencies, certificate of deposits, and commercial paper. Initiates pool fund investments in conjunction with the treasurer. Reviews cashbook reports and balances the report to general ledger
  • Analyzes SAP for functionality for Treasury's interest. Acts as a liaison with other departments concerning SAP functions
142

Senior Treasury Analyst Resume Examples & Samples

  • Degree in Accounting, Finance, Economics or a related field
  • Minimum 5 years of work experience in corporate treasury, banking or a related field
  • Excellent oral and written communication skills and the ability to interact effectively with colleagues, senior level management, and outside advisors
  • Strong analytical skills and ability to work independently
  • Ability to handle and prioritize multiple tasks/deadlines within a fast-paced environment
  • Team oriented and capable of collaborating across multiple functions within the organization
  • Strong computer skills, including proficiency in Microsoft Word, Excel and PowerPoint
  • Experience with SAP, BPC, BW, Bloomberg, FiREapps and/or Misys is a plus
  • CTP highly preferred
143

Senior Treasury Analyst Resume Examples & Samples

  • Perform / manage duties related to centralized cash management function including: daily cash management, bank account administration, cash forecasting, short-term debt, and short-term investments
  • Build and maintain financial models related to forecasting future cash use, funding needs and debt compliance
  • Serve as key contact for field-related treasury questions
  • Perform and maintain covenant compliance tests and certificates
  • Assist Manager of Treasury and Investor Relations in managing banking and other treasury related relationships
  • Assist with issuance of corporate debt, as needed
  • Assist with the preparation and execution of outgoing company wire transfers
  • Monitor daily positive pay and ACH fraud filter exceptions
  • Prepare and execute requests for letters of credit with approved banks. Also responsible for amendments and closing of these instruments
  • Assist with the tracking of debt instruments across the Company
  • Review monthly bank charges to determine accuracy and reasonableness
  • Assist manager with investor relations research and analysis
  • Manage projects from inception to completion including working with internal and external business partners
  • Perform other duties as needed and/or assigned by management
  • BA/BS in Business, Accounting, Finance or related field
  • Minimum three to five years relevant experience
  • Strong knowledge of general treasury operations (i.e., daily cash positioning and forecasting, opening/closing bank accounts, wire/check/ACH payments, etc.)
  • Experience with automated treasury solutions (i.e., payment & bank reconciliation files, invoice automation, host-to-host connectivity, etc.)
  • Experience in independently managing key projects
  • Ability to communicate effectively with senior personnel
  • Experience with accounting systems and other banking and business software
  • Excellent computer skills, particularly Microsoft Excel and other Microsoft Office products
144

Senior Treasury Analyst Resume Examples & Samples

  • In-depth and broad involvement in all facets of global corporate treasury including cash management, FX and Risk Management, Investments, debt management, and cash flow forecasting
  • Design, implement, and improve treasury processes and policies for enhanced operational efficiency & internal/external compliance
  • Support global cash forecasting and liquidity management; FX and risk management
  • Support global expansion efforts through treasury systems and banking implementations for new countries, banking partners, and payment/collection types
  • Advanced modeling to analyze financial structures, evaluate/monitor risks, and ad hoc projects
  • Partial Latin America Focus - Spanish and Brazilian Portuguese a plus
  • Will initially report to the Director of Treasury
145

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for preparing the daily cash position for multiple corporate domestic entities
  • Assessing daily liquidity needs, executing payments, and funding bank accounts
  • Bank account management including opening and closing accounts as needed, updating signatories, and working with legal/tax to provide needed documentation
  • Maintenance of letters of credit, guaranty data, and comfort letters
  • Responsible for month/quarter end cash reporting
  • Provide back up to worldwide treasury staff in APAC, EMEA, and CLA as needed
  • Coordinating back office functions for global FX operations
146

Senior Treasury Analyst Resume Examples & Samples

  • Execute commodity financial derivatives according to approved hedging strategies
  • Upload trades and reconcile with Middle Office team on any discrepancies
  • Provide ad-hoc, weekly, monthly and quarterly reports to senior management, business units, procurement and accounting
  • Work closely with Middle Office and Accounting CoE to ensure SOX compliance
  • Leverage system technology to improve desk efficiency
  • Support senior leadership on implementation of new programs
  • Partner with Reval to lead operational setup of new programs
  • Ongoing maintenance of hedging models
  • 3-5 years of corporate finance or other finance related experience
  • Proficiency in Microsoft Excel (VLookup, Pivot Tables), PowerPoint, Outlook
  • Strong analytical abilities and excellent financial modeling skills
  • Commodity trading experience (Swaps, Futures, Options)
  • Previous experience with Bloomberg and Reval Treasury & Risk Management system
  • Experience using Markit, DTCC, Societe Generale Pulse system
147

Senior Treasury Analyst Resume Examples & Samples

  • Debt Financing
  • Corporate Finance Theory
  • General Finance and Business Acumen
  • Securitizations (preferred)
  • Treasury and/or Accounting Systems (preferred)
  • Detailed, hard worker, with superb organizational skills
  • Ability to clearly present complex finance material, verbally and in writing
  • Strong MS Excel, VBA, MS Access, MS Powerpoint
  • Prefer knowledge of relational databases and experience with SQL, Cognos, or Teradata ADS Generator
148

Senior Treasury Analyst Resume Examples & Samples

  • Manage international cash balances across multiple banks and structures
  • Execute foreign exchange spot, forward, swap and non-deliverable forward contracts
  • Manage foreign exchange hedging program. Obtain foreign exchange exposures from subsidiaries, evaluate net positions, execute trades and communicate trades to subsidiaries. Collaborate with subsidiaries to ensure they understand foreign exchange exposure issues and procedures necessary to minimize financial risk to the company
  • Manage monthly multi-lateral netting program for inter-company payables and receivables and cross-border third party payments
  • Responsible for implementing treasury solutions and related services to improve processes and reduce costs
  • Collaborate with subsidiaries on implementing cash management and treasury initiatives on a global scale
  • Regular communications with subsidiaries, bank partners and outside consultants
  • Financial analysis. Analyze financial data, draw conclusions and present recommendation on decisions and actions
  • Perform ad hoc projects as assigned, lead special projects, and drive continuous process improvement
  • Liaison with other departments, such as tax, accounting, and legal, on a range of treasury-related items
  • Bachelors Degree in Business Administration, Accounting, Finance or related field
  • MBA or CPA is a plus
  • 3 years of banking, treasury or relevant finance experience
  • Preferred experience with demonstrated skills in domestic and/or international cash management, financing and investments, foreign exchange risk management, financial analysis
  • Familiar with treasury systems and or banking software a plus
149

Senior Treasury Analyst Resume Examples & Samples

  • Negotiates and procures banking services and assists in the design and implementation of cash management structures
  • Facilitates and coordinates domestic and international banking and risk management projects to improve cost of banking and operational efficiencies of cash and risk management processes
  • Responsible for the maintenance and overall operation ofa European notional cash pool
  • Demonstrates problem solving abilities and communicates solutions to management
  • Coordinates with accounting, tax and legal departments for funding issues that have tax implications
  • Manages cash management relationships with banks and other financial institutions
  • Maintains banking systems and bank account documents
  • Serves as point of escalation to support operations with day-to-day banking and cash management issues
  • Invests excess cash and initiates borrowings as needed (primary backup to Treasury Analyst)
  • Responsible for financial analysis which includes evaluating business unit / project cash flows, cash forecasting, accounting and tax issues
  • Coordinates, schedules and reports Quarterly Dividend Payment dates
  • Responsible for the presentation and periodic reporting to management as needed
  • Coordinates the completion of projects and verifies the accuracy of work performed by other analysts
  • Interacts with other departments to accomplish stated requirements and assists in the development of solutions such as the integration of bank systems.(for example- Integration of bank systems/files with SAP.)
  • Serves as the primary backup for daily cash management and assists in the daily cash management duties to ensure company funds are safeguarded in accordance with Company authorization and procedures
  • Performs the primary thinking encompassed by this job description
  • Fully supports Company goals of continuous improvement and operational excellence at strategic and tactical levels including reviewing area of responsibility for improvement opportunities to initiate projects or communicate ideas to management as well as active participation on project teams
  • Any additional responsibilities or tasks as assigned
150

Senior Treasury Analyst Resume Examples & Samples

  • Design and build risk monitoring frameworks, systems, and reporting dashboards that present risks and mitigation plans or alternatives in a clear manner
  • Work with Capital Markets team to implement and expand Treasury’s risk reporting platform
  • BA/BS degree in Finance, Economics, or applicable field
  • 5+ years of Treasury or applicable experience
  • An MBA or MS in Finance, Economics or a related field
  • Experience with Corporate Treasury FX trading platforms such as FXAll, 360T, and Bloomberg FX Go
  • Experience with FX risk reporting platforms such as FiREapps, AtlasFX, and Chatham Direct
  • Corporate Treasury foreign exchange and fixed income investments experience
  • Experience with Essbase, Cognos, Oracle Financials or similar tools
151

Senior Treasury Analyst Resume Examples & Samples

  • Work with Treasury management and global controllers to develop operating cash flow forecasts, visibility of global cash balances and to optimize working capital
  • Fund cash shortages through intercompany lending, repatriation, netting, sweeping and pooling structures while minimizing tax costs
  • Identify and recommend mitigation strategies to minimize foreign currency, interest rate and commodity exposures
  • Perform hedge confirmation process, hedge accounting and summary reporting and analysis
  • Assist in upgrading global treasury and cash management systems/workstation and processes
  • Assist in establishing treasury metrics and key performance indicators
  • Work with Treasury management to maintain and rationalize Company’s key global banks, including analyzing bank fee structures, services and credit levels and counterparty credit quality
  • Maintain a commodity procurement process and supporting analysis of related accounting entries
  • Maintain process for intercompany and third-party debt reporting and compliance
  • Maintain treasury and real estate policies, internal controls and databases
  • Work directly with Company’s internal and external auditors and outside real estate company
  • Perform other related duties as assigned by management
  • 3+ years of cash management systems and technology, debt reporting and compliance, hedge accounting or bank account administration
  • Experience automating and upgrading global treasury functions and systems
  • Advanced knowledge of accounting, economics and treasury principles
  • Strong knowledge of treasury, risk management and financial reporting
  • Proficient in MS Office Suite
152

Senior Treasury Analyst Resume Examples & Samples

  • Provide daily, monthly and quarterly FX reporting to senior management
  • Assist with managing daily settlement and long term foreign exchange risk through forecasting and executing foreign exchange trades
  • Review and benchmark foreign exchange more than 130 foreign exchange (FX) rates in WU system
  • Compile and reconcile FX positions on daily basis
  • Manage rate and spread systems while working in close cooperation with IT to ensure uninterrupted money transfer activity
  • Daily implementation of manual FX rate changes (at least 20 per day)
  • Work in close cooperation with Legal and Business teams to ensure compliance with local currency regulations
  • Provide guidance and support to WU country teams on foreign exchange related projects
  • Educate country teams and WU agents (prospective and current) on FX rate update processes
  • Develop an understanding of WU specific and market constraints to design and implement effective FX risk management strategies
  • Understanding of FX markets and hedging instruments
  • Strong quantitative and analytical ability
  • Basic understanding of FX Hedging processes
  • Basic understanding of Accounting concepts
  • Ability to multi-task and manage multiple priorities
  • Must be willing to quickly take on new tasks and requirements
  • Strong attention to detail Strong written and verbal formal communication skills Ability to work under pressure
  • Strong abilities in Excel and VBA
  • Experience pulling market data from Bloomberg
  • Bachelor’s Degree in Finance, Economics, Accounting or a related subject Master’s Degree preferred
  • CFA, progress towards CFA charter or willingness to study for the CFA preferred
153

Senior Treasury Analyst Resume Examples & Samples

  • Manage and maintain daily cash and banking positions across large and complex grouping of corporate bank accounts; gathers morning cash flow estimates and verifies accuracy of incoming credits and outgoing wire transfers; updates inflows/outflows throughout day; confirms receipt of forecasted cash amounts; identifies and reconciles discrepancies; issues and corrects wire transfer instructions; confirms financial data with internal personnel and external customers; revises estimates and determines daily cash requirements
  • Input and review of all incoming/outgoing bank account activity in company treasury management system. Daily reconciliation of treasury management system to bank statement reports. Determines proper coding of transactions for accurate accounting and application of amounts to the General Ledger; generates multiple reports for the accounting department and various other departments
  • Determine daily credit line funding amounts and optimize cost of funding across multiple and large dollar-value credit lines. Monitor and control daily borrowings, loan maturities, and interest payments across bilateral and syndicated bank lines
  • Manages cash collateral held by futures clearing division. Determines mix of government securities, money market funds and short term deposits, while ensuring selected investments adhere to corporate policy. Responsible for the movement of securities between custody / safekeeping accounts and commodities exchanges within exchange-mandated deadlines
  • Reconciles netting amounts for daily foreign exchange settlements with bank counterparties
  • Prepare and provide daily position reports to regional and global senior management
  • Carries out orders for Foreign Exchange hedging transactions submitted by marketers and other authorized persons
  • Performs other shared departmental functions, including recordkeeping, distributing correspondence, responding to calls/inquiries; creating internal/external correspondence, updating bank/division lists, issuing stop-payments of checks, preparing deposits for various banks and international collection items
  • Serve as backup for Treasury Analyst
  • 3 to 5+ years of experience administering finance/cash management functions in a corporate finance or treasury department or in banking operations, including responsibility for reconciliation of cash accounts
  • Experience in a large corporation, commercial bank or trading environment
  • Knowledge of corporate or bank-related financing principles, transactions and operations, such as cash management, wire transfers and letters-of-credit
  • Proficiency with MS Word and Excel
  • Ability to recognize financial discrepancies and determine causation
  • Excellent math aptitude and analytical skills
  • Ability to operate and troubleshoot bank funds transfer systems
  • Familiarity with accounting principles and practices
154

Senior Treasury Analyst Resume Examples & Samples

  • Administer global treasury desktop, including creating and maintaining users access rights, authorization levels, and reporting
  • Evaluate compliance with treasury policies and internal controls
  • Perform multi-entity, multi-currency cash flow forecasting and budgeting
  • Coordinate bank account opening/closings, and changes in bank services
  • Analyze bank account analysis and fee statements, providing support for assessment of bank services and fees
  • Prepare models to assist in analyzing employee retirement plan distributions
  • Review and aggregate multiple investment plan portfolios. Analyzing statements for duplication, opportunity and risk
  • Develop and monitor foreign currency exchange hedging program
  • Monitor financial market trends and events
  • Maintain inventory of long term loans receivable and payable
155

Senior Treasury Analyst Resume Examples & Samples

  • Responsible for determining the Corporation’s net cash position on a daily basis and ensuring that company records and bank balances reconcile on a daily basis
  • Responsible for creating necessary transfers to consolidate cash in a timely and cost-effective manner on a daily basis in order to meet the company’s operating requirements
  • Responsible for investing excess cash balances in accordance with corporate guidelines
  • Responsible for summarizing all daily activity and creating wire and ACH payments for review by the Manager/Director, Treasury Operations
  • Responsible for dissemination of cash reports to various parts of the organization
  • Responsible for assisting in maintaining and analyzing the short-term cash forecast on a daily basis and identifying, investigating, and communicating the root cause for any significant variances
  • Responsible for the timely resolution of any bank account related problems and customer inquiries
  • Maintain strong financial controls by monitoring and validating cash collection, payment, and other controls on a daily, monthly, quarterly and annual basis
  • Maintain the company’s disaster recovery plan, and conduct quarterly tests
  • Provide analytical support for Treasury
  • 2-5 years experience in a related function
  • Understanding of financial markets and institutions
  • Strong computer and financial modelling skills, proficiency in Word and Excel
  • LI-CR1
156

Senior Treasury Analyst Resume Examples & Samples

  • Makes sure all transactions are recorded correctly on the general ledger daily
  • Prepares letters of instruction and related documentation for signature and drives the completion of activities with banking partners
  • Supports bank reconciliation team to make sure all accounts are properly reconciled monthly
  • Manages multiple tasks, projects and reporting simultaneously. This may include the quarterly bank compensation report and bank scorecards and may assume the lead role on assigned initiatives
  • Completes bank account documentation in alignment with corporate and business unit initiatives
  • Negotiates bank service agreements in conjunction with attorneys in the Law Department and bank officers. Ensures all agreements are current
  • Maintains Treasury’s bank relationship database ensuring the company’s bank account records are accurate and current
  • Performs routine audits on user access privileges
  • Negotiates collateral trust agreements partnering with business unit, Law Department and customer. Reviews and processes trust amendments, terminations, withdrawals and reductions
157

Senior Treasury Analyst Resume Examples & Samples

  • Create and implement centralized treasury operations structure
  • Recommend and establish global bank reporting platform
  • Review existing treasury and bank systems, recommend enhancements to provide increased visibility, control, and standardization
  • Improve and document treasury policies and procedures while adhering to and enhancing internal controls
  • Work with relationship banks to coordinate account openings, closures and changes in bank services globally
  • Global administrator on bank/treasury systems
  • Coordinate merchant service providers and services
158

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor’s degree in Finance, Economics, Engineering, or related field
  • 6+ years of experience in Treasury, Finance, or banking industry
  • Must possess strong project management, contract negotiation, and documentation skills
  • Proven track record of getting things done, managing multiple tasks including communication with internal and external teams while consistently delivering on schedule
  • Proven track record of delivering large Programs at Amazon or comparable company
  • M.B.A. or Master’s degree
  • A good understanding of business strategy in a high growth, large scale environment
  • Previous Treasury/Finance experience in a multinational company strongly preferred
  • Experience implementing In House Bank or Cash Pooling, Multilateral Netting, and POBO structures
  • Broad range of skills from high level strategic thinking to creative and detailed execution
  • An ownership mentality; willingness to roll up the sleeves and do whatever is necessary to meet team goals
159

Senior Treasury Analyst Resume Examples & Samples

  • Must be legally permitted to work in the United States
  • Experience with corporate finance and capital markets concepts
  • Working knowledge of financial statements and basic book accounting
  • Ability to distill detailed data and communicate effectively
  • Understanding of corporate finance academic principles and theories
  • Ability to work well in fast paced environment
160

Senior Treasury Analyst Resume Examples & Samples

  • Daily reconciliation between dealing System and Ledger
  • Daily reconciliation of cross currency clearing and unmatured accounts
  • Daily support of IT2 ( Treasury Management System)
  • Central cash Forecasting & reporting for the region
  • Managing the funding / repatriation of funds and spot FX requirements for the region
  • Understand Treasury Policy and Procedures
  • Expected to provide cover and support to the Treasury
  • Ensure payments are authorised within timeframes
  • Ensure feedback to Treasury Manager outlining general activities of the role
  • Experience of managing and maintaining a cash forecast
  • A minimum of 2 years’ experience in
  • Financial Markets
  • Banking Operations
  • Treasury or product accounting
  • Solid skills in SAP
161

Senior Treasury Analyst Resume Examples & Samples

  • 5 years of experience in corporate treasury and banking
  • Experience with enterprise resource planning systems
  • 1 year of experience with online banking systems
  • Proficient in Microsoft Office (Excel, Access, PowerPoint, Word, and Outlook)
  • Treasury workstation experience
  • Proficient in Microsoft Word, Excel (including PivotTable), and Access
  • Experience in enterprise resource planning or general ledger systems
  • Extensive experience with online banking systems
  • Oversees daily cash management and ensures sufficient funding for operational purposes to cover accounts payable, payroll, and taxes
  • Manages investment of excess cash
  • Assists with streamlining bank accounts, maintaining bank administration documents, and consolidating bank activities to reduce number of accounts and lower bank fees
  • Benchmarks and analyzes bank fees and monitors monthly bank analysis statements to ensure accurate pricing structure
  • Identifies, researches, and recommends cash management process improvements for alignment with industry best practices
  • Supports and implements new initiatives and projects
  • Assists with month-end close process as needed
  • Provides audit support (e.g., cash, debt, check copies, bank statements, and investment confirmations) as needed
  • Assists management with controllership process improvement across the system to eliminate financial risk
162

Senior Treasury Analyst Resume Examples & Samples

  • Support development of a foreign exchange risk management hedging program and policy/procedures
  • Generate Free Cash Flow reporting/analysis and recommend/drive opportunities to improve working capital
  • Generate counterparty risk reporting and credit risk analysis
  • Perform economic analysis of corporate finance initiatives
  • Assist in implementation of a Treasury system to efficiently manage FX, investments, debt and management reporting
  • Ensure all Corporate and Treasury policies are adhered to
  • 3 Years Treasury, corporate finance or banking experience
  • Expert level user of Microsoft Excel and Financial Modeling
163

Treasury Analyst / Senior Treasury Analyst Resume Examples & Samples

  • Proactively manage ALM modeling, reporting and analysis for Manulife Bank and Manulife Trust using the ALM software. This includes accurate forecasting of the MBC Balance Sheet, Net Interest Income (NII), the accurate management of interest rate risk and assistance in projects and any ad hoc analysis requests. This includes updating and innovating current ALM reporting and modeling as necessary
  • Prepare and review ALM inputs ensuring accurate, consistent data are presented in the most appropriate format
  • Accurate and timely completion of the monthly ALCO report which presents key Asset/Liability risk metrics to Senior Management. This requires co-ordination with internal Treasury staff for information and with external parties to ensure appropriate individuals attend
  • Monitor, review and determine impact of all relevant internal (product pricing, product business flows, product changes/enhancements etc.) and external (economic data releases, interest rate changes, regulatory environment changes etc.) events that will impact the proper modelling of the ALM function
  • Subject Matter Expert to both internal (MLI Audit, Sr. Management, Finance, other MBC units etc.) and external (auditors, rating agencies, regulators etc.) parties in dealing with ALM related issues
  • Monitor / review daily pricing information on various bank retail and wholesale loan and deposit products and analyze interest rate return information to be able to efficiently assess Bank pricing/profitability
  • Monitor / review daily business flows of the various bank products within Manulife Bank and their impact on the Bank's overall risk positions from an Asset Liability Management perspective
  • Support Treasury staff on Asset Liability Management related data analysis and month-end processes including maintaining and improving the Bank’s Asset Liability Management (ALM) software
  • Monitor, review and update information regarding the Bank's Wholesale Funding Program Liability Issuances
  • Monitor retail deposit pricing including GICs and recommend strategies to improve funding and liquidity profile of the Bank
  • Provide continuous analysis on the overall mortgage and loan book of the Bank including monitoring the cash flows, renewals, commitments, penalties and ongoing analysis of trial balances
  • Work closely with Treasury staff on hedging, funding, investments and liquidity efforts of the Bank including managing swap book of the Bank
  • Prepare reports that support the decision making of Treasury staff and/or Bank Senior Management
  • Develop appropriate financial modeling processes through the assessment and enhancement of existing models
  • Lead and/or participate in large and medium scale projects as required
  • Provide input and support to both internal and external personnel in dealing with Treasury related issues
  • Undergraduate degree in Finance, Economics, Accounting or a quantitative discipline;Must have very strong quantitative and analytical skills
  • Detail oriented with strong problem solving and analysis skills
  • Strong understanding of Finance specifically in areas such as hedging, funding, liquidity and Asset Liability Management (ALM)
  • Strong SQL or SAS programming knowledge is considered a definite asset
  • Advanced working knowledge of Excel and high working knowledge of PC applications especially Microsoft Applications such as Access, Word and PowerPoint
  • Strong interpersonal, communication and organizational skills and the ability to work within various group settings
  • Very strong and effective team player with the ability to work independently in a fast pace environment
  • High degree of flexibility and creativity required; being able to adapt to a constantly changing environment and to develop and adapt financial procedures and processes to meet such changes
  • CFA designation or working towards CFA designation would be considered an asset
  • Working knowledge of Bloomberg and/or other market pricing and analytical sources and software is considered a definite asset
  • Prior work experience in a Bank/Treasury environment is considered a definite asset
  • Securitization knowledge including Canada Mortgage Bonds (CMB) and National Housing Act (NHA) / Mortgage-backed Securities (MBS) programs both on a conceptual and operational basis will be considered a definite asset
164

Senior Treasury Analyst Resume Examples & Samples

  • Coordinates the implementation of new bank accounts setups with the various Shared Services departments. Ensures bank services are implemented and meets deadlines as established
  • Acts as a backup to the Treasury Analyst position
  • Assists the hotels with all bank related issues and requests for banking services including monitoring bank fees for established services
  • Completes bank documentation as needed for review by Assistant Treasury Manager
  • Complies with all Corporate Treasury policies and procedures
  • Assist Hotels with banking site issues through research and administrative support
  • Conducts user access audits on a quarterly basis within all banking websites
  • Various other duties and responsibilities may be required or assigned as needed
  • Assists Treasury Analyst with all hotel requests submitted through Service Now to ensure the Treasury Department is meeting all SLA’s established
  • Regular attendance is expected based on schedule and business needs. The schedule for this position requires the following availability, but is not limited to Monday – Friday 8:00AM to 5:00PM
  • Work well with others at a variety of levels within the organization
  • Ability to communicate effectively and respectfully to all associates and all internal/external resources
  • Ability to collaborate with cross-functional teams and across all levels of the organization
  • Must be able to work inclusively, but also be able to work independently and without excessive supervision
  • 3-5 years of relevant experience in Commercial or Corporate Banking
  • Project Management experience (certification a plus)
  • Working knowledge of Shared Services operations
  • Comprehensive knowledge of bank payment systems and treasury management services
  • Proficient with ERP applications, such as Oracle Financials
  • Intermediate to Advanced Excel knowledge
  • Experience working with on-line banking sites and web-based services
  • Excellent organization skills and attention to detail
  • Professional attitude and excellent written and verbal skills
  • Ability to multi-task to meet daily deadlines as well as longer term multi-project deadlines
  • Ability to establish and maintain professional working relationships with internal and external peers
  • Bachelor’s Degree in Accounting or Finance preferred
  • CTP not required but preferred
165

Senior Treasury Analyst Resume Examples & Samples

  • At least 3 years of relevant experience in Treasury, Finance or Accounting
  • Sound exposure to technical knowledge of foreign exchange and bank products is preferred
  • Capability of working independently and under pressure as well as prioritizing tasks
  • Responsible, organized and self-motivated
  • Proficiency in both spoken and written English and Chinese
  • Well-versed in computer applications such as MS-Excel
  • Prior experience with Treasury Workstation is preferred
  • Individuals that are able to showcase scalability. Or rather, capability to cope and perform under increased or expanding responsibilities
166

Senior Treasury Analyst Resume Examples & Samples

  • Set daily cash position in rotation with teammates to ensure accurate funding of accounts and the regulated money pool, tracking of intercompany funding, processing of electronic payments, coordinating the daily liquidity needs, etc. Continue to improve/develop/modify Integrity treasury system as needed to enhance the efficiency of processes as well as to meet I/T, security, and banking changes
  • Review, process and update the accounting information in the Treasury workstation. Process and review the journal entries on a daily basis and post monthly to PeopleSoft meeting the required deadlines while ensuring the accuracy and completeness of the journal entries posted. Provide reporting and resolve questions from the business units
  • Update and maintain bank account documentation. Coordinate with teammates, business partners and banking partners to open, close and maintain bank accounts requesting proper banking services as required. Ensure the bank account system is updated and accurate for all bank accounts and signers
  • Analyze monthly bank account fee invoices, pay bank fees quarterly and develop bank fee annual budgets and periodic forecasts. Ensure all bills are paid quarterly with discrepancies identified and resolved in a timely manner understanding the charges for various services while looking for ways to decrease bank fees by eliminating unused services or changing user behavior
  • Prepare reports and analysis of treasury related information on a monthly basis such as cash and liquidity. Review information with the Treasurer on a quarterly basis
  • Facilitate the issuance of guarantees and Letters of Credit. Maintain documentation files and the master databases for monitoring, tracking and reporting guarantees and Letters of Credit. Work effectively with legal, business units and accounting to ensure accurate, complete and timely execution and documentation for issuances, amendments, terminations and disclosures
  • Assist or lead special projects – Treasury workstation changes and upgrades, bank on-line systems changes, quarterly liquidity surveys, support for audits, regulatory surveys, etc. Assist with any other ad hoc requests and analysis
  • Bachelor’s degree in (Accounting/Finance/Economics) OR a Bachelor’s degree in a similar discipline with prior (accounting/finance/economics) work experience OR for existing employees who currently hold a position within the Finance organization and are applying to a lateral opportunity, comparable work experience in lieu of a degree
  • 6-8 years of professional work experience
  • Experience with financial applications (i.e., PeopleSoft FMIS, HFM, smartview, etc.) and query tool (Business Objects)
  • Proficient using Microsoft products such as Excel, Word, and Power Point
  • Master’s in Accounting
  • Certified Treasury Professional or Certified Public Accountant certification (or equivalent)
  • Previous experience with cash/bank management systems and treasury workstation
  • Previous work experience in the banking industry or experience working with payment processing
  • Previous experience with compliance documentation including policies and SOX
  • Previous experience creating and processing monthly journal entries
  • Demonstrated skills in variance analysis
  • Strong analytical and critical reasoning ability
  • Able to work in a team environment as well as ability to work independently in a multi-tasking environment
  • Capable of thriving in a fast paced environment reacting quickly to multiple changing business priorities
  • Demonstrated strong interpersonal skills. Ability to influence, interact and communicate with internal personnel and external customers and banking partners at all levels and with multiple backgrounds
  • Highly organized with attention to detail
  • Strong desire to develop finance/treasury knowledge, both practical and theoretical
  • Possesses and applies a comprehensive knowledge of finance and accounting principles, practices, and procedures to complete moderately complex assignments
167

Senior Treasury Analyst Resume Examples & Samples

  • Capital market research, reporting and related projects
  • Maintain global investments in the Treasury Management System
  • Global bank fee analysis and opportunities for savings
  • Intercompany settlements and loans
  • Support other treasury functions as needed
  • Bachelor's degree in Finance or Accounting
  • 4 or more years of treasury, banking or investment experience required
  • Knowledge of financial markets and traded treasury products
  • Experience with treasury systems/Kyriba a plus
  • Excellent interpersonal skills and the ability to work both independently and collaboratively
168

Senior Treasury Analyst Resume Examples & Samples

  • Strong analytical and problem solving skills, including data analytics
  • Strong verbal, interpersonal, and written communication skills
  • Ability to effectively manage and prioritize multiple work assignments simultaneously
  • Strong control orientation and knowledge of Sarbanes Oxley Act requirements
  • Knowledge of treasury management with emphasis on debt, credit card compliance and travel and expense management
  • Demonstrated ability to identify and analyze organizational needs with solid problem solving abilities
  • Advanced proficiency of MS Office products including Outlook, Excel, Word, and PowerPoint
  • Bachelor’s Degree in Accounting, Finance or Economics. Master’s Degree in business administration or finance preferred
  • Minimum five (5) years of progressive experience in financial planning and analysis roles, in a large corporate, management consulting, or banking environment
  • Certified Treasury Professional (CTP) or CCM designation preferred. CPA a plus
169

Senior Treasury Analyst Resume Examples & Samples

  • Submit funding wires to warehouse banks within the wire cutoff time
  • Process settlement wires received from investors
  • Create daily warehouse and inventory reports
  • Update daily cash balance reports
  • Perform treasury functions such as wires, check deposits, positive pay and check printing
  • 3+ years of mortgage experience, preferably with knowledge of treasury functions such as wires, ACH, and Positive Pay
  • Expert skills in MS Excel, including the ability to utilize the following functions: V-Lookup, H-Lookup, Concatenating formulas, Conditional formatting, and Pivot Tables
  • High School Diploma or equivalent required, Bachelor's Degree in Accounting preferred
  • Accounts Payable experience preferred
170

Senior Treasury Analyst Resume Examples & Samples

  • Must have at least 5 years of experience in a corporate treasury, finance or investment banking
  • Advanced MS Excel including modeling, and macros
  • Proficient in MS PowerPoint, MS Word and familiarity with Database software
  • Demonstrated project management skills and ability to contribute in a small team environment
  • Must have general knowledge of GAAP and SEC reporting requirements for debt and other financial instruments
  • Chartered Financial Analyst (CFA)
  • Healthcare/Non-Profit Treasury experience
171

Senior Treasury Analyst Resume Examples & Samples

  • Assist in the development of required reporting of foreign currency exposures and interest rates transactions
  • Provide analysis to support and develop strategies to minimize risk, execute hedges, monitor results and adjust processes to achieve continuous improvement
  • Execute hedge contracts to carry out company strategies
  • Prepare required reporting of foreign currency exposures and interest rate transactions, including monthly/quarterly reports and management reports
  • Create new and ongoing hedge documentation to achieve favorable hedge accounting treatment, where needed
  • Prepare analysis and support for capital structure strategy development and debt financing transactions
  • Coordinate preparation of quarterly debt compliance analytics, ongoing debt basket tracking and periodic credit agreement pro forma and forecast modeling
  • Provide analysis and support for vendor supply chain financing program and related working capital improvement program solutions
  • Evaluate lease versus buy scenarios and early lease terminations, and provide recommendations
  • Lead ad hoc projects and recommend/implement improvements to enhance best practices, working cross-functionally to include appropriate stakeholders and driving innovation and data-driven decision-making
  • Bachelor’s degree in business, accounting, finance or similar field
  • Minimum 5 years of relevant experience in treasury, banking, finance or similar role
  • Solid understanding of FX hedge principals including exposure identification, common hedge types and hedge accounting practices
  • Robust analytical skills and system proficiency in Excel
  • Proven experience working cross-functionally, adapting to varied and changing requirements in a fast-paced environment within a global organization
  • Effective, clear and concise written and oral communication skills
  • Sound judgment and strong decision-making skills
172

Senior Treasury Analyst Resume Examples & Samples

  • 2 years’ work experience in Finance or Accounting
  • This position will be located in Queretaro, Mexico
  • Experience in treasury/cash management or banking preferred
  • Proficiency in Microsoft office products; experience with Quantum system a plus
173

Senior Treasury Analyst Resume Examples & Samples

  • Manages the portfolio of investable cash and short-term investments. Plans investments and execute Treasury bill trades and deposit Treasury bills into regulated accounts ensuring regulatory guidelines are adhered to. Acts as the Treasury lead on Audit and Exam requests - compile, analyze, and prepare all materials by the deadline
  • Develops and implements short-term and long-term cash forecasts. Maintains model and assumptions based on business needs. Ensures compliance with stress tests from regulators and depositories
  • Projects/forecasts and Monitors VMC’s daily cash position and project changes in cash to ensure that VMC is adequately funded to meet expected cash requirements. Leads strategic projects and innovate within Treasury
  • Oversees flawless execution of payment and wire transfer requests and ensure accounts are funded appropriately and transactions are recorded on the general ledger
  • Ensures connectivity and functionality of the Treasury Management System (TMS. though host-to-host and SWIFT connections
  • Ensures pledged customer collateral is sufficient to support funding with settlement entities and take action where necessary. Anticipate changes to the requirement based on market conditions
  • Completes the daily management reporting dashboard. Takes a consultative approach to providing applicable information. Makes adjustments and improvements as needed
  • Ensures accuracy of records through daily account reconciliation and control execution and monitoring
  • Represent Treasury during engagements with internal and external business partners. Act as primary liaison between VMC and designated settlement bank(s. . Provide feedback to the Relationship Manager when appropriate
  • An undergraduate degree required, accounting major preferred. Master's degree preferred. Certified Treasury Professional preferred
  • Minimum five years general financial and five years industry (Cash Management or Treasury) experience
  • Experience in controls framework (SOX) and implementation required
  • Demonstrated decision making, leadership, and conceptual thinking skills
  • Experience in forecasting and modeling required
  • Detail and goal oriented
  • Excellent communication skills - including verbal, written and presentation to C-suite level of management
174

Senior Treasury Analyst Resume Examples & Samples

  • Under supervision, prepares monthly reports by reconciling and balancing data downloaded from mainframe systems to other reports; calculates and verifies interest payments due; performs cash flow and compliance analysis and prepares instructions for cash movement
  • Evaluates and implements debt financing strategies
  • Participates in preparation of disclosure documents, coordinates due diligence, develops materials for rating agencies and investors
  • Conducts quantitative analysis and oversees complex financial models in support of management reporting
  • Responsible for strategic issuance of commercial paper to meet daily cash needs including coordinating with CP dealer group, issuing and paying agent, and cash management to ensure accurate movement of cash
  • Maintains software system that monitors all loan, lease and floorplan activity in sold pools and updates system for new pools, additions to pools as well as transfers data to subsystems and reports
  • Provides audit, internal compliance and due diligence support
175

Senior Treasury Analyst Resume Examples & Samples

  • Help manage Lending Club’s investment portfolio including two external investment managers on investment strategies and portfolio management
  • Monitoring liquidity and execute short term investment purchases and redemptions
  • Prepare monthly liquidity and investment analysis and reporting for management and board committees
  • Monitoring investment policy compliance and credit/market risk
  • Assist with designing and building risk monitoring frameworks, systems, and reporting dashboards that present risks and mitigation plans; liaise with cross-functional teams on an on-going basis to collect data, perform analysis and prepare presentation materials
  • Analyze balance sheet and liquidity impact of new loan products and funding solutions, and implement hedging or other strategies to mitigate risk
  • Assist with following existing credit facility and implementing of future potential warehouse lines
  • Partner with FP&A to provide interest income forecast calculations
  • Support core banking system administration and account opening documentation
  • Partner with corporate accounting on 10-K, 10-Q and other disclosures on cash, investments, and hedging
  • Assist with special projects and provide ad hoc analysis as required
  • Bachelor’s degree and 3 years of relevant experience
  • Highly proficient in application of spreadsheets, analytical, and presentation tools with strong attention to detail
  • Experience with Clearwater Analytics or other investment reporting and analytical tools highly desired
  • Knowledge of fixed income investments, liquidity management, cash forecasting and debt instruments
  • Strong ability to communicate effectively across a matrixed organization, with other employees, business partners, and management
  • An extraordinary teammate and leader who leads by example and is willing and able to get into the details
176

Senior Treasury Analyst Resume Examples & Samples

  • Conducting analyses and develop presentations for Credit Rating Agencies, the Asset and Liability Committee, and senior leadership
  • Helping the capital markets team analyze financial savings opportunities in the relationships with its key partners
  • 3 year of relevant work experience in financial analysis
  • Intermediate level proficiency with MS Office Suite, Word, Excel and PowerPoint
177

Senior Treasury Analyst Resume Examples & Samples

  • Estimate of Cash Flow with an accuracy of 90% or more for compliance with sector KPIs
  • Monitoring of treasury budget control
  • Insurance tracking
178

Senior Treasury Analyst Resume Examples & Samples

  • Administers cash management and other treasury functions for HollyFrontier Corporation, Holly Energy Partners, and PCLI, including daily cash positioning, short-term borrowing and investments, collections and disbursements, wire transfers, and cash balance and activity reporting
  • Reconcile daily cash balances and determine daily liquidity needs for company. Invest excess cash balances according to safety, liquidity, and yield
  • Execute FX trade settlements and provide analysis in collaboration with accounting and A/P
  • Assists in the developing and implementing of strategies and best practices for functional responsibilities to cost-effectively and efficiently manage corporate cash
  • Maintain and improve cash forecasting models by working with other departments to ensure adequate liquidity and cost effective short term borrowings
  • Prepare forecast and covenant compliance reports for management and external financing partners
  • Optimize efficiency within SAP and manage costs by monitoring and analyzing bank fees and activities, recommending changes in services used, and following up with banks for corrective actions
  • Develops, builds, and maintains various financial models to assist with planned financings
  • Collaborate with Legal department and set priorities for various Treasury related documents. Negotiate such documents directly with counterparty
  • Set up and provide training to new users for on-line bank reporting, and resolve any after-hours issues
  • Assist with implementation, testing, and training of any new treasury functionality in SAP or other systems
  • Annually perform SOX testing on cash management procedures
  • Reports all accidents, injuries and near misses, and participates in associated investigations
179

Senior Treasury Analyst Resume Examples & Samples

  • Partner with Treasury leadership to develop strong working relationships with financial service providers, including banks, brokerage firms, investment managers, and other consultants. Act as a liaison between these providers and internal customers and business partners
  • Play a lead role in the ongoing development of complex treasury and investment related analyses and forecasting models, often by partnering with other Finance and Accounting Team Members and external business partners. Integrate this knowledge into day-to-day cash and investment planning processes
  • Make recommendations to Treasury and Finance leadership related to longer-term liquidity management at the entity level and across the broader enterprise. Communicate implementation plans effectively to junior Treasury, Finance and Accounting Team Members
  • Supervise Treasury related activities for business initiatives, process improvements, system enhancements, and the formation of new entities
  • Assist in managing the more complex investment portfolios for which Treasury is responsible, and oversee investment activities for Mortenson’s insurance captives and non-qualified benefit plans. Ensure appropriate investment performance reporting is implemented and maintained for these portfolios
  • Work with outside investment advisor's, managers and custodians to resolve investment related problems, and to implement Investment Committee directives and policy changes as required
  • Partner with the Treasury Manager to create and maintain investment analytics, performance reporting, proposals and other materials in support of Mortenson Management Investment Teams and Investment Committees of the Board for multiple Mortenson entities
  • Act as a knowledge resource to less experienced Treasury, Finance and Accounting Team Members. Provide leadership and work direction to address more complex problems and service requests, such as reverse factoring payment processes, foreign letters of credit, hedging requests, fraud situations and legal settlements
  • Learn all day-to-day and month-end cash management and investment related functions. Be prepared to act as a back-up in any of them
  • Perform special requests as directed from senior staff
  • Four-year degree or equivalent work experience in applicable field required. Certified Treasury Professional (CTP) required. Masters of Business Administration (MBA) preferred
  • Demonstrated experience in corporate treasury and investment management required. Experience in banking or financial services strongly preferred
  • Demonstrated analytical and problem-solving skills required, with an emphasis on modeling and forecasting
  • Demonstrated project management skills required, particularly involving cross-functional project teams to implement system enhancements and process improvements
  • Demonstrated oral and written communication skills required, with an emphasis on presentations and proposals to management
  • Must be reliable, detailed-oriented, and capable of managing multiple projects with little or no supervision
  • Knowledge of finance and accounting concepts required
  • Strong proficiency in Word for Windows, PowerPoint and e-mail skills required
180

Senior Treasury Analyst Resume Examples & Samples

  • Independent review of liquidity and interest rate analyses including underlying drivers and assumptions for stress test and associated metrics
  • Help develop risk metrics and limits where appropriate for relevant liquidity and interest rate exposures in the banking book
  • Monitor adherence to liquidity, market/interest rate and capital risk policies on an ongoing basis. Escalate and help remediate breaches or expected breaches proactively
  • Assist in developing consolidated reporting of Treasury Risk (Interest rate, liquidity and capital) as part of overall Enterprise risk reporting
  • Actively participate in providing meaningful review/challenge to Enterprise Capital Stress Testing process
  • Ad hoc/projects: Respond quickly to ad hoc analysis requests from CRO, other risk officers, other Bank executives and regulators. Contribute to special projects as needed
  • 4+years of risk management, treasury or finance experience
  • Experience with SAS or SQL or other data management, reporting and query tools
  • Must be detail oriented and able to manage multiple complex tasks concurrently
181

Senior Treasury Analyst Resume Examples & Samples

  • Bachelor’s Degree in Business, Finance, or related subject matter
  • Certified Treasury Professional (CTP) designation a plus
  • 3-5 years of Treasury/Banking/Finance experience, preferably including configuration or implementation of Treasury systems (Wallstreet Suite or other Treasury Workstation) and/or payment systems
  • Working knowledge and experience with US & global payment processing
  • Experience implementing SWIFT and/or other connectivity solutions with external banking partners
  • Proficiency in MS Excel and other reporting tools, with ability to analyze user requirements and create reports to meet business needs
  • Self-starter with ability to effectively collaborate with Treasury team and other stakeholders to deliver expected results
  • Demonstrated critical thinking and evaluation skills
  • Strong attention to detail and ability to manage multiple priorities and deadlines
182

Senior Treasury Analyst Resume Examples & Samples

  • Provide critical project support for the next phase of the FIS(Sungard) Integrity workstation implementation, including but not limited to: tracking project milestones and budget, preparing project updates for senior management, scheduling and leading meetings, and serving as a liaison between external third party vendors (banks) and internal stakeholders
  • Serve as the point of contact for all Treasury administration tasks, including but not limited to: bank account management, bank fee analysis, team procedure monitoring, and serve as Treasury liaison with Third-Party Oversight
  • Serve as back up to the Cash Management desk, by processing wires, and managing cash positions for Corporate and Bank entities
  • Ownership of the monthly ALCO Deck compilation
  • Communicate effectively with internal and external business partners, including but not limited to: Treasury, Accounting, Retail Operations, and Systems Engineering
  • Collaborate with our IT team to implement and/or enhance tools and applications for cash management process
  • Ensure effective controls are in place across daily tasks and functions to mitigate risk. Identify, document, and implement new risk controls
  • Produce and/or review daily, monthly or quarterly statements/reports for distribution to management and various stakeholders
  • Develop and maintain ad hoc or custom reports
  • Record Retention for the Cash Management team
183

Senior Treasury Analyst Resume Examples & Samples

  • Provide guidance on funding, interest rate, liquidity and capital risk management to Corporate Treasury based on line of business segment strategies. Participant in the Treasury Strategy Committee
  • Develop an understanding of client and product profitability and apply knowledge in decision-making Maintain/build excellent working relationships with Corporate and Community Bank Segment Executives, Product Management, Finance, and other constituencies
  • Provide insights for process efficiencies, functional realignments and overall continuous improvement
  • Excellent communication and internal partnering skills
184

Senior Treasury Analyst Resume Examples & Samples

  • Daily cash management reporting
  • Treasury Front Office support
  • Manage cash investments
  • Manage debt management
  • Manage debt covenant compliance/monitoring
  • Foreign Exchange trade execution
  • Manage balance sheet FX hedging program
  • Manage cash flow FX hedging program
  • Manage international funding
  • Assist with weekly/monthly cash flow forecasting and delta analysis
  • Weekly cash position update and analysis of all inflows and outflows
  • Liaise with the various controllers on variances of actual vs forecast cash flows
  • Manage banking relationships
  • Assist in the preparation of weekly, monthly, quarterly and annual Treasury related reporting
  • Assist internal/external auditors on quarterly/yearly audits
  • Involvement with Ad-Hoc projects as and when necessary
  • Bachelors Degree in Finance/Accounting or equivalent. MBA/CTP
  • 5+ years of treasury operations experience in a global company
  • Highly organized and detailed oriented
  • Proficient in using Microsoft Office application is a must
  • Experience using Oracle EBS, Bloomberg, Essbase, Hyperion, CashPro desirable
185

Senior Treasury Analyst Resume Examples & Samples

  • Monitor workflow and ensure all functions are completed as specified in the departmental procedures
  • Serve as first point of contact for issues requiring escalation and actively participate in the resolution of those issues
  • Ensure that departmental procedures and files are maintained and up to date
  • Maintain knowledge of the processes for all daily and periodic functions to be able to perform these functions when needed
  • Identify risks in processes and propose solutions to reduce risk
186

Senior Treasury Analyst Resume Examples & Samples

  • Execute daily treasury transactions such as wire and ACH payments, check runs, cash requirements forecasting and pipeline funding
  • Perform bank reconciliations on multiple cash accounts in USD and foreign currencies
  • Prepare documentation of supporting schedules and analysis for monthly, quarterly and year-end deliverables including variance analysis and review of bank balances
  • Prepare, review and maintain Letters of Credit
  • Collaborate with the business on special projects as requested, including but not limited to new funding requirements and opening of new bank accounts
  • Assist in identifying inefficiencies and implementing process improvements. Participate in automation initiatives and subsequent management of automation process
  • Prepare bi-weekly and ad hoc vessel funding to each of the ships based on requests from Casino and Shipboard Finance. Coordinate transportation and delivery of funds to ships
  • A Bachelor’s degree with a focus on Accounting or Finance
  • 3-5 years experience related to the role
  • Strong balance sheet reconciliation and journal entry preparation
  • Strong process and analytical skills with proven ability to interact with all levels of the organization
  • Basic understanding of intercompany accounts
  • Prior experience with variance analysis and internal financial reporting
  • Detail oriented, strong communication skills, creative thinker and solutions oriented
  • Excellent interpersonal skills and a collaborative communication style
  • Experience with Oracle Financial Systems. Basic skills in MS Office products (Word, Excel, PowerPoint)
  • Banking, Treasury or Cruise Line experience is a plus