Treasury Manager Resume Samples

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VH
V Harvey
Vivienne
Harvey
2881 Christy Hollow
Dallas
TX
+1 (555) 646 4767
2881 Christy Hollow
Dallas
TX
Phone
p +1 (555) 646 4767
Experience Experience
New York, NY
Assistant Treasury Manager
New York, NY
Nienow, Ledner and Kreiger
New York, NY
Assistant Treasury Manager
  • Developing and providing reports and KPIs to senior management on cash and cash drivers
  • Managing intercompany loan positions and set up of controls for funds transfers
  • Banking relationships: - Manage relationships with financial service providers
  • Ensuring best practice treasury controls are in place
  • Liaising with other departments: - Ensure business plans are properly implemented (income vs equity, financing rate etc) and address specific issues
  • Financial Shared Service Center
  • Overview and development of cash flow reporting, forecasting and analysis. Participation to budgeting and cash planning
New York, NY
Treasury Manager
New York, NY
Roberts and Sons
New York, NY
Treasury Manager
  • Track record of project management, productivity and process improvement within the area of cash and working capital management
  • Working knowledge of treasury management systems and automation processes related to cash and working capital management
  • Define and execute the implementation of a Treasury Management System with a recognized provider
  • Manage, direct, and develop Cash Management staff
  • Continue to improve our forecasting models to provide senior management with the best possible estimate of corporate cash flows
  • Assist and/or execute on various projects as requested by management
  • Assist in the development and management of bank relationships
present
Detroit, MI
Senior Treasury Manager
Detroit, MI
Kshlerin Group
present
Detroit, MI
Senior Treasury Manager
present
  • Banking facilities review and support the allocation of credit line
  • Collaborate with cross-function teams and lead vendor team to support new business launches
  • Actively participate in all sales planning processes. Coordinate planning for assigned sales team
  • Responsible for Divisional sales goals to budget for deposits, business service charges, and other fee income line items as specified (both their own individual goals as well as those of their employees/team)
  • Manages the global currency programs, responsible for identifying and managing balance sheet currency risks, implements strategies to reduce risk and maintain within policy parameters, analyzes accounting results to expectations and oversees currency reporting, responsible for accounting activity related to derivatives and FAS133 principles
  • Sell treasury management products and services to established corporate customers and prospects through an aggressive joint sales calling program with the commercial lending staff
  • Provide team leadership independently soliciting/developing new account relationships through an aggressive calling program; build and manage a portfolio of corporate/municipal clients in the capacity of relationship manager
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
University of Memphis
Bachelor’s Degree in Finance
Skills Skills
  • Customer focus, strong attention to detail, ability to work in a fast paced environment, and effective communication skills
  • Excellent follow through, attention to detail but ability to understand big picture
  • Strong proficiency in finance and treasury accounting knowledge of ASC 320 and other Treasury related accounting standards
  • Detail-oriented with strong organizational skills, including the ability to prioritize various projects which may be in process simultaneously
  • Ability to negotiate in a firm, effective, well-reasoned and civil manner, which produces good terms and good relationships for Plexus
  • Exhibit strong analytical and problem-solving skills with the ability to work independently and manage multiple time-sensitive assignments simultaneously
  • Strong written/ verbal communication skills; strong composition skills demonstrated through practical experience
  • Strong analytical skills including the ability to interpret financial and non-financial information
  • Strong attention to detail
  • Solid interpersonal skills with the ability to effectively and proactively communicate with individuals at all levels of the organization
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15 Treasury Manager resume templates

1

MC FTC Treasury Manager Resume Examples & Samples

  • Assisting with new company acquisitions
  • Planning for integration of new acquisitions with the Cash Managers
  • Project / Implementation for the new Treasury Systems / Processes
  • Running the Bank Mendes Gans Cash pool including
  • Ensuring the net balance is maintained at the ‘correct’ level
  • Cash flow projection of the pool net balance
  • Interest rate management
  • Documentary matters for BMG
  • Adding / removing companies / accounts to / from the cash pool and working within the changing regulatory environment
  • Being pro-active regarding all treasury aspects of the specific region
  • Input ability for all electronic bank transfer systems
  • Monitor bank fees and interest
  • Consolidated liquidity reporting
  • Group MOM reporting,
  • SEC / restricted cash reporting
  • MCAR reporting
  • Consolidated forex exposure monitoring and trading to ensure within limits
  • Intercompany settlements
  • Deal with audit reviews – internal and external
  • Ad Hoc project work as and when required
  • May involve limited travel
2

Senior Treasury Manager Resume Examples & Samples

  • Oversight of the Americas treasury activities including: cash positioning, borrowing/investments, cash forecasting, negotiates and monitors bank fees, supports budget and forecast processes for treasury related matters, SOX compliance and maintains bank relationships
  • Global cash management
  • Executes global cash management strategies to ensure subsidiary financing and working capital needs are met, excess cash yield is optimized, and cash is repatriated to the US as directed
  • Responsible for the global cash forecasting source and use process and consolidation
  • Oversight of debt compliance activities, debt and interest reporting and provides analytical support
  • Manages the global currency programs, responsible for identifying and managing balance sheet currency risks, implements strategies to reduce risk and maintain within policy parameters, analyzes accounting results to expectations and oversees currency reporting, responsible for accounting activity related to derivatives and FAS133 principles
  • Responsible for SEC reporting requirements from the treasury group
  • Conduct monthly, quarterly and ad-hoc analysis, reports and dashboards
  • Support implementation of Treasury technology solutions
  • Assist with ensuring internal controls are properly maintained within the Treasury Department
  • Participate in and manage special projects as required and other duties as assigned
  • Assist in developing policies, procedures, operational standards for Treasury operations and assist in the communication of these policies company-wide
  • BS/BA degree in Accounting, Finance or Business with 6 to 10 years of relevant experience or equivalent combination of education and significant work experience with demonstrated accomplishments and expertise
  • Strong communication, analytical, written and interpersonal skills to interact with internal and external business partners
  • Ability to analyze data and formulate a recommendation
  • Advanced skills with spreadsheet and database application software such as MS Excel
  • Must have analytical skills, be detailed oriented and able to work independently in a fast paced environment
  • Proven ability to collaborate effectively across functional business organizations
  • International/multi-national company experience
  • Strong understanding of accounting concepts
  • SAP ERP knowledge
  • Knowledge and/or interest in FAS52 and FAS133 (ASC 830 and 815) accounting rules
3

Treasury Manager Resume Examples & Samples

  • Knowledge of financial markets as well as fixed income portfolio management techniques and valuation models
  • Strong conceptual, analytical and problem solving skills. The candidate must be able to exercise good business judgment in assessing the potential drivers when issues rise, and in developing appropriate actions to resolve issues
  • Experience with query (SQL) and large quantity of data retrieval is an asset. - Knowledge of retail banking product feature is an asset
  • Ability to work effectively with other teams to develop good business relationships
  • Ability to take the ownership and to drive a process/project
  • The flexibility to adapt to changing requirements, and the ability to adjust priorities to accommodate urgent requests
  • Minimum 5 years financial service or consulting practice experience in the areas of Asset Liability Management, risk management, accounting and/or finance
  • Dual background/experience in Math/Engineering and Accounting/Finance is definitely an asset
  • Undergraduate degree in Business Administration, Finance, Mathematics or similar field. MBA or graduate degree preferred
4

Treasury Manager Resume Examples & Samples

  • Handle general corporate finance assignments
  • Coordinate on the credit facility requirements, negotiate and secure credit facilities with banks
  • Manage cash and monitor foreign currencies exposure to ensure relevant group subsidiaries adequate funding and support the financial risk monitoring
  • Contribute corporate finance and financial risk management expertise by addressing treasury issues and providing solutions in relation to the M&A projects, corporate actions and joint ventures
  • Review all banking related documents to ensure all are in compliance to corporate guidelines
5

Treasury Manager Resume Examples & Samples

  • Oversee the transfer pricing, NII forecasting and sensitivity analysis of non-term products
  • Produce and present both consolidated and business specific-reporting packages for all TDCT deposits and TDW
  • Develop staff by deepening their knowledge of transfer pricing, balance sheet management, and business results analysis principles
  • Lead the development of an effective, sustainable, and complete non-term product forecasting and reporting infrastructure
  • Review, analyze, and update key product assumptions and parameters used in the transfer pricing and NII forecasting of non-term deposits
  • Consult with and transfer knowledge to/from segment product managers and product finance groups to ensure successful application of the Risk Adjusted Profitability Management paradigm
  • Co-ordinate the implementation of new TDCT non-term deposit products with internal TBSM stakeholders
  • Analyzing data to identify reasons for variances in results and to identify forecasting anomalies
  • Gathering & analyzing business requirements and explaining requirements to system developers
  • Using computer tools for data retrieval and analysis, in particular Excel and SQL
6

Treasury Manager Resume Examples & Samples

  • Set up and supervise the implementation of the company's treasury system worldwide
  • Coordinate cash repatriation to offshore entities, providing local support to various internal stakeholders to meet bank requirements
  • Analyzing the company's financial risk exposure, and can help to design complex risk exposure hedging system, using tools include but not limited to bonds, interest rate swaps, etc
  • Liaise with banks, officials, and other internal business leaders to monitor regulation changes in different territories, and then timely advice business impact to ensure strong treasury compliance inside the organization
  • Manage company's cash flow and timely update the status to senior managements. Lead regular capital plan making and implementation
  • Providing necessary supports for M&A and other business activities, including model assessment, transaction structuring and integration, etc
  • Responsible for project financing for oversea projects, work as a contact window to coordinate and maintain relationship with banks
  • Responsible for the implementation and follow-up monitoring of risk hedging transactions with the management's authorization
  • Harmonize the banking process to simplify and standardize the procedure and number of banks used
  • Understand currency exposure of the business and propose hedge strategies to reduce volatility in coordination with Supply Chain Finance, banks and Corporate Treasury, in line with global hedging policy
7

Assistant Treasury Manager Resume Examples & Samples

  • Previous experience working in a treasury role
  • Part Qualified accountant
  • SAP experience is essential
8

Treasury Manager Resume Examples & Samples

  • Provide advice to clients planning to raise external debt
  • For ICMA Comfort letters: Extract comfort on statutory figures, enquiries with management, management accounts review, and board minutes review
  • For AUP reports: Agree upon procedures on a wide variety of financial information and disclosures contained in the prospectus
  • Provide broad technical accounting advice for clients
  • Undertake a range of treasury related activities
  • Assist on Treasury engagements including reviews of treasury risk management policies
  • Present and provide training sessions, both internally and to clients externally
  • Lead projects & run work streams on large engagements, often working as part of a project team on client site
  • Prepare reports & present findings/recommendations to clients
  • Assist on Treasury engagements including reviews of treasury risk management policies, processes, controls, and procedures. Also, developing and implementing market, credit and liquidity management programs
  • Strong analytical skills including the ability to interpret financial and non-financial information
  • Drive and determination to bring value to our clients
  • Ability to work both in small teams and as part of larger projects
  • Strong understanding of the Financial Services sector, ideally insurance, including the rating agencies and also the current regulatory landscape including Solvency II
  • Experience of working with or in treasury teams
  • Financial and capital modelling experience
  • Enterprise risk management experience
9

Treasury Manager Resume Examples & Samples

  • Advanced Treasury knowledge
  • 10+ years in Treasury and Cash Management
  • CTP, CFA, CPA preferred
  • Government experience ideal
  • Manage all cash management functions including cash concentration, wires, account funding. Ensure adequate liquidity for working capital needs and invest short term excess cash. Manage inter-company cash, including inter-company lending, dividends, and capital injections
  • Oversee cash management banking and financial institution relationships. Negotiate bank and service fees. Implement new bank technologies, products and services to improve cash cycle and simplify company operations
  • Support long term capital markets activities, including public debt financing. Prior experience with bank and debt capital markets and documentation a plus, but opportunity to learn for right candidate
  • Must possess a Bachelor degree in Finance or Accounting with 5+ years of overall experience in cash management, pension management, capital markets, and/ or corporate finance in a corporate environment
  • Strong analytic skills, financial and systems skills are required
  • Certified Treasury Professional designation is a plus
  • Familiarity with Sympro or Bloomberg LLP systems desired not required
  • Certified Treasury Professional (CTP), Chartered Financial Analyst (CFA) designation or Certified Public Accountant (CPA) license desirable
10

Treasury Manager Resume Examples & Samples

  • Bachelors Degree in Finance or Accounting
  • Five years in a related financial field, including cash management and treasury responsibilities
  • Experience streamlining cash disbursement and cash receivable process preferred
  • Strong understanding of cash management including cash flow projections and cash position
  • Knowledge of treasury function including investments and debt (including loans/lines of credit/bonds)
  • Strong research skills, analytical skills, etc
  • CTP, CFA, or CPA designation desirable
11

Treasury Manager Resume Examples & Samples

  • Advise management on the liquidity aspects of short- and long-term planning
  • Evaluate opportunities to reduce banking and interchange fees
  • Maintain current inventory of bank accounts, authorized signers and bank contacts
  • Prepare documentation of changes in bank account structures, including opening and closing accounts
  • Minimum of seven years of experience
  • Certified Treasury Professional (CTP) designation
12

Treasury Manager Resume Examples & Samples

  • Bachelor's degree in finance or accounting, CPA or MBA preferred
  • Should have 5+ years of progressively responsible treasury experience with a major corporation
  • Must have superior skills in MS Office suite, specifically MS Excel and MS Access
13

VP, Treasury Manager Resume Examples & Samples

  • This role is responsible for managing the treasury activities of China including overall balance sheet management of the branch balance sheets, funding and liquidity management in line with all internal and external regulatory ratios and requirements
  • You will also manage short term surplus funds by deploying liquidity in suitable short term money market instruments, managing market and liquidity risk arising in the banking book, execution of treasury transactions in the market, and review of treasury related policies applicable to China
  • Besides, you will be expected to interact with local regulators regarding Treasury matters for the Branches, as required
14

Group Treasury Manager Resume Examples & Samples

  • Liquidity policy research, development and compliance monitoring for both Australian and overseas entities
  • Oversight of liquidity scenario modelling
  • Working with overseas businesses to understand their local liquidity requirements and assisting with the development of solutions to optimise their liquidity risk management approach
  • Developing and maintaining assumptions and definitions for liquidity scenario modelling and business unit asset realisation assumptions
  • Working with business units to determine the appropriate liquidity treatment of assets, liabilities and new products
  • Liquidity contingency planning
  • Preparing monthly senior management reporting covering liquidity and funding
  • Oversight and review of key external disclosures covering funding and liquidity such as analyst presentations, management discussion and analysis, rating agency presentations and presentations for regulators
  • A strong understanding of liquidity, funding and other treasury issues
  • Good understanding of financial markets products – both wholesale and retail
  • Outstanding academic background in a financial or quantitative degree, e.g. actuarial, accounting, economics, engineering, mathematics
  • Clear & concise written and verbal communication skills
  • Ability to understand and succinctly explain complex data
  • Confidence in interacting with business staff and resolving competing priorities
15

Treasury Manager Chicago North Suburbs Resume Examples & Samples

  • Preparing forecast of cash generation
  • Create and maintain Company’s short and intermediate term cash flow forecast
  • Initiate bank wire transfers
  • Assist with the managing of the bank relationships, investor requests, negotiation of amendments and refinances and perform due diligence for new participants
  • Develop foreign exchange hedging strategies and manage the process
  • Prepare materials for the Board of Directors meetings
  • Analyze global markets, Dodd-Frank Act and other regulatory requirements
16

Treasury Manager Resume Examples & Samples

  • Collaborating with cross functional teams on the setup and maintenance of foreign entities, including managing appropriate capitalization and funding, and minimizing cost and FX implications
  • Recommending and implementing cost saving, profit maximizing, risk management, and process improvement opportunities to current treasury systems and processes
  • Managing daily global cash position to ensure adequate liquidity and anticipating short-term borrowing needs
  • Managing daily FX trading program
  • Responsibility for all aspects of the credit facility and other debt compliance management
  • Driving recommendations for minimizing foreign currency risk; aiding in development and execution of holistic foreign currency risk management strategy
  • Development of periodic reporting required by senior management as it relates to treasury activities
  • Ensuring compliance with internal controls, policies and procedures in daily conduct of treasury activities
  • Assisting in the development of policies, procedures, operational controls and standards
  • Execute other key treasury initiatives, including optimizing international banking infrastructure, managing banking relationships
  • Strong academic background, 4-year degree required
  • Excellent time management, planning and organizational skills. Ability to multi-task in a fast paced environment, manage multiple priorities and make ongoing decisions; plans in advance to meet deadlines that include multiple review points and iterations
  • Strong performance accountability orientation, both in terms of following through on commitments and deadlines for him/herself, and those for his/her team
  • Positive attitude with strong work ethic
  • Good written and verbal communication skills. Confident and able to be influential and persuasive with excellent “team player” mentality
  • Excels in fast-paced environments
  • CPA/MBA a plus
17

Treasury Manager Resume Examples & Samples

  • Managing group debt and cash reporting
  • Data integrity of our IT2 cash management system
  • Reporting daily and weekly divisional and group debt and cash position
  • Migration of any acquisition to the cash management platform
  • Review and Implementation of Cash Pooling
  • Term Deposits
  • Managing Local Banking Relationships together with Divisional CFO's
  • Regional banking supplier review and rationalisation
  • Ongoing Bank Account Rationalisation
  • Ensure Mandates standardised and managing changes to signatories
  • Acquisition integration to our preferred regional banking providers
  • Manage and maintain Letter of Credit Relationship, review and implementation of any new requirements
  • Manage and maintain a wide variety of intercompany funding products and ensure appropriate accurate documentation is maintained"
  • Dealing closely with key stakeholders in the finance and tax department
  • Other ad-hoc and recurring duties
  • 3/5 years plus experience in a Treasury role or Finance Department (doing such role)
  • ACA qualified from a Big 4 practice
  • Strong academics
18

Treasury Manager Resume Examples & Samples

  • Conduct hedge performance simulation and hedge optimization, improve bucketing rule and hedge accounting tagging logic for U.S. Mortgage Fair Value Hedge Program
  • Research, develop and test valuation models for new hedge instruments under US Mtg Fair Value Hedge Program phase II
  • Develop and enhance other hedging strategies including tractor strategy for Non-maturity Deposit and delta hedge for the US mortgage portfolio
  • The position must work effectively with internal and external partners of TBSM, including Front Office, the Investments Team, the Market Risk Measurement and Reporting Team, the Technical Analytics Group, and the Model Validation and Management Team, to ensure the soundness and accuracy of hedging strategy development and implementation
  • Solid understanding of fixed income products with a graduate degree in one or more of the following areas: finance, economics, mathematics and statistics
  • Relevant/ related work experience in Treasury and Risk Management is an asset
  • Experience and knowledge of statistical analysis and stochastic processes is considered an asset
  • Proficient in C/C++, VBA, SQL and optimization/ statistical software
  • Well-developed time management, prioritization, interpersonal, problem-solving and verbal and written communication skills
19

Treasury Manager Resume Examples & Samples

  • 1) Technical Skills and Knowledge
  • Experience with query (SQL) and large quantity of data retrieval is an asset
  • Knowledge of retail banking product feature is an asset
  • 2) Soft Skills & Communication
  • 3) Experience and Education
  • Minimum 5 years financial service or consulting practice experience in the areas of Asset Liability Management, risk management, accounting and/or finance. Dual background/experience in Math/Engineering and Accounting/Finance is definitely an asset
20

Capital Markets & FX Treasury Manager Resume Examples & Samples

  • Experience managing sophisticated FX programs, i.e. balance sheet and cash flow, for a Multi-National corporation
  • A strong understanding of FAS 133/ASC 815 standards including hedge designation, regression analysis – effectiveness testing, and accounting implications
  • Understanding of compliance requirements, i.e. Dodd Frank, EMIR, LEI maintenance
  • Experience with international Treasury issues and management of an international team
  • A collaborative, team first orientation given the cross functional nature of role
  • Principal Duties and Responsibilities
  • Manage the monthly and quarterly hedge programs
  • Liaise with corporate accounting to ensure appropriate hedge accounting, compliance, and documentation
  • Develop and evolve hedging strategies as business model changes
  • Manage counterparties and reporting requirements, eg. ISDA’s
  • Mentor and develop team - hire and manage APAC Treasury Analyst
  • Update and annual review of Foreign Exchange policy and procedures
  • Create and provide reports to senior management and Board summarizing positions, exposures, and results
  • Manage monthly and quarterly FX reporting processes for accounting and external reporting purposes
  • Execute on funding, cash management and liquidity requirements for APAC region
21

Treasury Manager Resume Examples & Samples

  • Managing and forecasting cash and borrowing needs for the organization
  • Maintaining all internal and external cash management requests and initiating wire and ACH transfers
  • Electronic payment systems including debit and credit card processing
  • Manage banking relationships and manage financing programs
  • Preparing daily cash position for the organization and subsidiaries
  • Preparing general ledger reporting and bank reconciliation of cash, accounts receivable and debt
  • Assisting the Finance Department on special projects
  • 5+ years of experience in the cash management field; electronic payment processing(including debit and credit cards)
  • Strong Supervisory Experience Required
  • Proficiency in banking, cash management and bank reconciliation procedures and systems
  • Certified Treasury Professional, or similar designation preferred
  • Good analytical, organizational, planning and communication skills
  • Works effectively in a team environment and under general direction
22

Global Treasury Manager Resume Examples & Samples

  • Assist in developing and executing all aspects of cash operations strategy in terms of global account structure, fee management, bank relationships and business partnering with all internal partners (i.e. Accounts Receivable, Accounts Payable, Tax, Payroll, HR, SEC Reporting, Financial Process Compliance)
  • Drive or participate in integration, process improvement projects, automation projects, including evaluation and implementation of Treasury workstation
  • Design, implement, and operate treasury operations processes, taking into considerations of best practices and business needs
  • Responsible for intercompany loan tracking system, interest income/expense forecast
  • Monitor and ensure compliance with policies, procedures and operational controls related to global cash management, including SOX compliance
  • FX Settlement, Monitoring SLA, Trouble Shoot and resolution for Banking interfaces
  • Facilitate issuance of letters of credit and bank guarantees worldwide
  • Act as Global system administrator for global cash management banking platforms, including APAC, U.S., Canada and Brazil
  • Responsible for Bank Reciprocity, analyze bank fees and banking activity to ensure optimal pricing
  • Serve as backup for worldwide cash forecast consolidation, North America cash forecasting and ensure ongoing liquidity needs are met
  • Ability to learn quickly and adapt to multiple systems and processes
  • Must be a critical thinker with attention to details who can seek innovative solutions to business/technical issues
  • Strong project management skill
  • Self-starter, and possess strong prioritization and organization skills. Must be able to work in a fast-paced environment and can handle multiple projects simultaneously
  • Ability to produce quality work within intraday deadlines
  • Good verbal, written, and presentation skills to articulate ideas and plans clearly, accurately, and effectively with all levels of internal and external audiences
  • Team player adept at facilitating an open exchange of ideas and know how to build win/win relationships
  • Proficient experience of Microsoft Excel, Word, PowerPoint and Outlook
  • 5+ years of domestic and international Treasury with a multinational company
23

Treasury Manager Resume Examples & Samples

  • Responsible for supporting the analysis, structuring and execution of debt and capital market transactions to support target levels of liquidity and capital. This will involve debt issuance, bank line management as well as working with the M&A team on financing new acquisitions both on shore and off shore
  • Perform analysis to determine optimal capital structure and distribution strategies
  • Perform relevant REIT compliance tests on a quarterly basis
  • Prepare analysis and presentations to support rating agency relationship
  • Manage debt service payments and covenant compliance certification for existing debt
  • Ensure SOX and policy compliance for relevant areas of responsibility
  • Develop and maintain relationships with rating agency and bank counterparts
  • Support M&A and other initiatives
  • Bachelor’s degree with MBA and/or CFA a plus
  • Four to five years of investment banking, equity research, Treasury or corporate FP&A experience
  • Initiative, integrity, reliability and ability to meet deadlines
  • Strong understanding of capital markets
24

Treasury Manager Resume Examples & Samples

  • Serves in a decision-making role for one of the following departmental functions
  • Leads functional teams or projects. Responsible for managing day-to-day workflow of a small team or work group
  • Responsible for providing employees timely, candid and constructive performance feedback
  • Developing employees to their fullest potential and provide challenging opportunities that enhance employee career growth
  • BachelorÆs degree in Finance or Economics required. Advanced degree or CFA preferred
  • Typically requires 7 - 10 years or more of Treasury-related experience in at least one functional area: Asset/Liability, Funding/Liquidity, Investment Portfolio, or Structured Finance
  • For those aligned to the Asset / Liability function, experience with Asset / Liability management, risk management, investment analysis, or forecasting & planning required
  • For those aligned to the Funding / Liquidity function, experience with institutional money, capital, and derivative markets products required
  • For those aligned to the Investment Portfolio function, experience with fixed income portfolio management and analysis with emphasis on mortgage backed securities required
  • For those aligned to the Structured Finance function, experience in Asset / Liability management, securitization, investment analysis, or risk management required
  • Financial services / banking industry experience preferred
  • Strong analytical, modeling, and database skills and experience required. Experience with ALM modeling software required (QRM preferred) for those aligned to Asset/Liability function
  • Knowledge of Treasury & Funds Management, money markets, fixed income/capital markets, and derivatives
  • Demonstrated ability to learn and become proficient with computer software, analytical and data base management tools
  • Experience leading a functional team, project or staff preferred
  • Proven ability to independently manage multiple assignments and demonstrated initiative
  • Demonstrated proficiency in critical thinking, leadership, business acumen, relationship building and teamwork
  • Ability to work independently, as well as in a team environment
  • Proficiency with Microsoft Office software, including Word, Excel, Access, PowerPoint, etc
25

Assistant Treasury Manager That can Relocate to Europe Resume Examples & Samples

  • US or Canadian citizen
  • Bachelor’s degree in Accounting, Finance or related field
  • 4+ years of treasury experience
  • Strong English oral and written communication skills
26

Treasury Manager Resume Examples & Samples

  • International banking experience at a multi-national bank or Treasury experience at a large multi-national corporation
  • Bank guarantee and letter of credit experience
  • Experience with bank documentation (KYC/AML)
  • Experience with bank accounts opening, closing, signature update, and bank service entitlements
  • Ability to work independently and exercise strong business acumen and judgement when dealing with internal and external business partners
  • Experience using online banking platforms and associated services
  • Intermediate skill level using Microsoft Office with strong skill level using Microsoft Excel
  • Functional knowledge and experience with international banking services and cash management reporting
  • Experience and understanding of SWIFT, FED, ACH payment systems
  • Ability to read and write in a second language (Russian, Portuguese, Mandarin and Spanish highly valued)
  • Ability to work with business partners across the globe
  • 2 years’ demonstrated work experience
27

Treasury Manager Resume Examples & Samples

  • Handle general corporate finance assignments and coordinate with regional treasury platform
  • Review all banking related documents, dividend policies, corporate loan guideline, and suggest improvement area for the region
  • Provide corporate finance support including defining capital structure, working capital arrangement and fixed assets financing
  • Monitor cash position and foreign currencies exposure to support the financial risk monitoring and controlling for the Group
  • Ensure and elaborate on compliance within the corporate finance guidelines
28

Assistant Treasury Manager Resume Examples & Samples

  • Help to ensure timely and accurate delivery of BV’s monthly FX reports and exposure forecasts to Group Treasury
  • Help coordinate between market controllers and Group Treasury in order to reduce exchange rate variances for the group
  • Evaluate structural changes with regards to potential foreign currency exposure and evaluate exchange rate effects
  • Preparation of bi weekly hedge forecast for approval and distribution
  • Monitor liquidity accounts relating to the BV’s business activities, including operational and financing activities
  • Analyse the cash flow movements in relation to the changes in P&L and BS accounts of the Dutch BVs
  • Support the liquidity reporting of the Dutch companies. Ensure timely and accurate delivery of actual and rolling forecast to Group Treasury
  • Support to serve as a consultant to the business, actively participating in cross-functional meetings, providing guidance and direction on Treasury related matters
  • Ensure all BV’s subsidiaries are compliant with Treasury policies and controls
  • Supports projects, monthly closing routines, ad hoc report and data analysis as required
  • Actively develop and support continuous improvement efforts
  • Proficient knowledge of international GAAP (IFRS) especially on Hedge Accounting
  • Basic understanding of international transfer price rules and logistic processes
  • Cash Flow forecasting experience
  • High working capacity, ability to take stress, flexibility
  • Team player, willing to contribute, team building
  • Strong analytical skills and attention for detail
  • Multi-tasker and problem solver
  • Ambitious, highly motivated
  • Affinity with numbers/financial models
  • Accurate in deliverables
  • Experience with ERP systems and reporting data-bases is a pre
  • Strong knowledge of MS Excel & Access
  • Higher vocational education or University,
  • Up to 3 years of relevant experience in an international environment
29

Treasury Manager Resume Examples & Samples

  • Support all global treasury and cash management operations and help develop strategies to maximize efficiencies and minimize costs
  • Manage cash functions, e.g., cash positioning, cash reporting and forecasting, factoring facility, wire payments, fraud prevention, FX management and hedging, bank account setup and maintenance, and bank relationship management
  • Maintain and optimize the current working capital financing facility as well as play a significant role in the completion of a new financing facility and capital strategy formulation
  • Forecast weekly cash requirements
  • Investigate and understand variances between forecast and actual values to continuously improve accuracy of forecasts
  • Work closely with the Billing and Collections team to drive best practices
  • Manage the identification/consolidation of global FX exposures, execution of foreign currency transactions, and reporting of exposure and hedging activity throughout the month and quarter
  • Assist in maintaining the banking infrastructure. Must have prior experience in establishing new bank relationships and accounts
  • Communicate and coordinate Treasury activities with colleagues in Europe, South America, India, Asia and the Pacific regions
  • Work with the CFO to develop and implement a credit review process for all clients
  • Control bank service fees and address quality issues
  • Maintain banking resolution and authorized signer documents
  • Bachelor's Degree in Accounting, Finance or Economics is required
  • MBA and/or professional designation (such as CTP or CFP) is a plus
  • Minimum 7 years’ experience in Treasury roles
  • Minimum of 4 years’ experience in a management or supervisory role
  • Must work well with other Departments in a collaborative manner
  • Process Improvement mentality
  • Ability to develop and institute meaningful and appropriate metrics system for areas of responsibility
  • Requires attention to detail, and ability to manage teams to drive results
  • Knowledge of PeopleSoft is a plus
  • Must have strong Excel skills and be able to analyze large amounts of data quickly
30

Treasury Manager Resume Examples & Samples

  • Provide daily cash management
  • Ensure liquidity across business units
  • Responsible for treasury fund transfers (ACH/Wire payments)
  • Manage Letters of Credit
  • Maintain rolling cash forecast, revolver and debt schedules
  • Coordinate with AP and AR regarding payments/collections
  • Minimum 5 years’ experience in corporate treasury
  • CTP designation preferred
31

Treasury Manager Resume Examples & Samples

  • Monitor the capital levels of the region's entities and branches; ensuring they are capitalised, and dividends are repatriated, in accordance to the Group's capital management policies
  • Coordinate the region's capital planning process, engaging with the regional CFO and local finance teams, to ensure timely and accurate presentation of numbers to the relevant Group committees
  • Support the implementation of the regional IGR program
  • Monitor the region's capital and liquidity generation, and work with the central Balance Sheet Management team and the business to improve these financial KPIs
  • Support the business in reviewing and structuring large transactions from a treasury perspective, as part of the broader Finance transaction review process
  • Support the business in structuring solutions to manage counterparty credit limits of our clients and work with collateral management to implement efficient collateral structures as required
  • Engage with Asset Management, the central Treasury team, and local finance to assess the capital implications of the investment and foreign exchange positions of local entities
  • Assist in strategic initiatives and projects within the region
  • Support the preparation of materials presented to Group committees (AMT, RFRC etc.)
  • Experience in financial services industry within a financial management related function, ideally Treasury or Capital Management
  • Solid understanding of corporate finance and capital management principals
  • Understanding of accounting principles and practice
  • Understanding of the structure, value drivers, and risks inherent in: reinsurance products, debt instruments, and capital market structures
  • Proven ability to analyse and structure solutions to complex problems - framing them as opportunities to control risk or enhance profitability
  • Experience in core project teams would be an advantage
  • Demonstrated ability to deliver in both a wider team environment or by working independently
  • Creative, open-minded, reliable, and enthusiastic
  • Good social and communication skills; able to interact with senior management
  • Adaptive working style to either a team situation or in an independent scenario
32

Treasury Manager Resume Examples & Samples

  • Oversees all cash management functions for US and international companies
  • Develops and reports cash forecasting projections and variance analysis on a weekly basis
  • Manages daily liquidity and short-term investments
  • Maintains and cultivates all banking relationships
  • Manages a ABL credit agreement with our syndicate banks including reporting, DACA (deposit account control agreement) management, and use of the facility
  • Evaluates departmental policies and procedures and makes cost reduction and efficiency recommendations for improvement when needed
  • Liaison between the company and banks for various bank product solutions, banking related migrations/implementations. (ie. Logistical, accounts payable, armoured car services, etc.)
  • Oversees issuance of trade and standby letters of credits and/or security deposits
  • Provides reports to accounting for various bond interest and ABL (Asset Backed Lending) credit facility related accruals, cash activity, and bank fees
  • Project leader for various banking related projects/implementations
  • Continue to improve our forecasting models to provide senior management with the best possible estimate of corporate cash flows
  • Offer treasury/cash management departmental solutions that will help improve the bottom line through cost savings and increased profitability
  • BS in accounting/finance or related fields is required
  • CTP (certified treasury professional) is a plus
  • 5 to 10 years working in cash management/treasury or related field
  • Domestic and international treasury management experience. Canadian and/or European cash management experiences a plus
  • Knowledge of SAP is plus
  • Excellent leadership, communication, analytical, project management and presentation skills
  • Knowledge of all MS Office applications, as well as, experience of multiple banking platforms
33

Treasury Manager Resume Examples & Samples

  • Responsible for cash management
  • Managing all aspects of cash flow
  • Looking at controls and procedures, looking for improvements
  • Assisting with relevant accounting procedures
  • Range of ad hoc projects
  • Relevant experience in a similar role
  • Knowledge of Hedge Accounting and Derivatives
  • Strong treasury management and communication skills
  • Quantum experience is highly desirable
34

Treasury Manager Resume Examples & Samples

  • Supervise and monitor all activities of Banking staff
  • Ensure the accurate and timely reconciliation of the (specific title(s) from RFP and/or State) Account(s)
  • Review and approve all processes related to check issuances
  • Interact with State as needed
  • Review and approve time sheets
  • Handle communication with (Bank) to resolve balancing/reconciliation issues
  • Audit and approve all financial transactions processed by the Funds Management/ (Banking) Specialist, Coordinator, and Clerk
  • Audit and approve the weekly voucher funding and all check issues
  • Prepare daily/weekly/monthly reconciliations of the bank accounts and verify all in-house reports for accuracy
  • Prepare the daily/weekly/monthly balancing worksheets and prepare the monthly reconciliation of the (specific title(s) from RFP and/or State) Account(s)
  • Review all checks stopped, voided or stale dated
  • Review and approve payouts prior to disbursement of funds to providers
  • Reconcile all check logs monthly
  • Review and reconcile bank confirmations (EFTs, voids, stops, wires, etc)
  • Research and other duties as assigned
  • Calculates contractually required monthly interest payments
  • Experience in banking/financial department(s) that interact with New York Medicaid and related State departments and/or agencies
  • Experience in the banking/financial department(s) of outsourcing companies supporting one or more of the following fiscal agents or carriers: Medicaid, Medicare, Champus and/or commercial health insurers or managed care organizations. (Such organizations would preferably have more than 1 million enrollees or eligibles.)
  • Management-level experience in supervising/directing/training the activities of staff in treasury- or finance-related department(s)
  • Experience with high-transaction-volume treasury and/or finance department(s)
  • Experience with software tools commonly associated with banking/treasury functions
  • Experience in working with major banks and their transactional support and reporting functions
  • College-level education in some/all of the following: accounting, finance, economics, and/or banking
35

Treasury Manager Resume Examples & Samples

  • Identifies areas where transfer pricing may need to be adjusted
  • Oversees the internal control framework developed to highlight the alignment and completeness of transactions in TBSM's financial reporting, risk, liquidity and FTP functions (i.e. 4-Way Reconciliation ("4WR"); and
  • Prepares timely and relevant management reporting, planning, forecasting and analysis
  • Explain to the Senior Manager and executives the performance of TD's transfer priced management reporting (brown dollars) vs financial reporting (green dollars) on a monthly basis
  • Execute monthly production processes to meet timelines for deliverables. This includes helping to operate the monthly Canadian CBS reporting process, including identification and investigation of exceptions and assisting in the understanding and messaging of changes
  • Identify and drive resolution on highly complex issues by working with various teams across TBSM to present issues, develop solutions that work best for all impacted teams, and quantify the impact of various alternative solutions
  • Enhance existing reporting and develop new reporting which explains and attributes transfer pricing performance
  • Develop processes, supporting infrastructure, and reporting requirements for improvements
  • Develop and foster positive working relationships with business partners and/or stakeholders (i.e. Segments, internal TBSM partners and Finance Shared Services)
  • Support the Senior Manager to add to or improve existing controls as well as enhance existing reporting and/or develop new reporting which explains and attributes transfer pricing performance
  • Document existing processes, update for identified issues and process changes; contribute to CBS and Management Reporting knowledge bases
  • Work to continuously improve and streamline processes and the delivery of reporting results to help build capacity for additional analysis and special project investigations
  • Bank treasury and/or bank financial/management reporting
  • Explaining complex financial concepts in business terms tailored to varied audiences, knowledge levels, seniority and backgrounds
  • Process streamlining and improvements
36

Treasury Manager Resume Examples & Samples

  • Responsible for Warner Bros. divisions’ banking needs. Advises WB personnel/ production staff regarding how to set up encashments while on location, fraud claims, verification of account signers, payment file failures, debit block set up, etc
  • Determines cash requirements and funding needs related to Accounts Payable, payroll, wire disbursements, FX deals, domestic and international receipts and all other daily cash liquidity management (provides back up preparation)
  • Administers and coordinates all bank services. Addresses positive pay file transmission problems with business unit, MIS and Cast and Crew. Sets up new users and provides training on banking platform and receivable services, e.g. Paymode. Serves as Treasury lead in ACH initiatives, merchant banking needs. Assists with deals – acquisition and integration
  • Analyzes account analysis statements related to assessed bank fees and bank services. Identifies and challenges erroneous charges or erroneous volume. Identify low activity bank accounts and recommend closures as appropriate
  • Researches any unusual items regarding products and services. Researches fluctuations in volume and pricing, identifies any trend, and notifies bank of any adjustments required. Notifies business units of any changes
  • Manages various special projects related to company changes
  • Acts as the backup preparer and releaser for all daily wire transfers, FX operations such as spot trades and remote deposit. Provides direction to Executive Assistant for complex wire issues
  • Assist or manage special projects as needed
37

Treasury Manager Resume Examples & Samples

  • This is a critical role for treasury that will assist and lead debt transactions potentially across the following categories; revolving working capital facilities, secured/unsecured bonds, mortgage loans, letters of credit, CMBS, swaps or interest rate caps or other loan facilities
  • Applies treasury subject matter expertise in multiple areas of specialization to contribute to treasury programs of the highest complexity
  • Drive all debt capital market activity for the Company including new bond issuances, re-financings, re-pricings and all opportunistic capital structure strategies aimed at optimizing the portfolio. Develops strategies for optimizing the capital structure
  • Monitor and communicate the company’s liquidity needs, holistic view of cash management and working capital (e.g. DPO, DSO and CCC). Understand, manage, and supervise all aspects of cash flow. Forecast daily cash requirements and execute daily financing decisions
  • Prepare or monitor company’s various cash flow forecasts and maintain financial liquidity model
  • Identifies areas for improvement to treasury processes. Leads priority projects and provides review and recommendation on current treasury processes and technologies that facilitate operational efficiencies
  • Ensure that financial transactions meet corporate policies, procedures, objectives and regulatory body requirements
  • Partner with the business, legal, accounting, tax and other key internal stakeholders to accomplish objectives
  • Manage relationships with our ongoing banking partners, rating agencies and others to accomplish objectives
38

Treasury Manager Resume Examples & Samples

  • Responsible for the bank and company’s liquidity position and measurement and reporting of the market and interest rate risk position
  • Recommend alternative funding options, and executing on identified strategies, while balancing liquidity risk. Communicates directly with regulatory agencies regarding the bank and company’s risk position
  • Participate on the Asset Liability Committee (ALCO) and other Pricing Committees
  • Provides financial analysis and recommend strategic guidance in establishment of product and pricing characteristics, and in management of the market, interest rate and liquidity risk for the organization
  • Ensure staff maintain supporting documentation or work performed for internal control purposes and is responsible for regulatory and compliance activities associated with treasury operations
  • Develop customer solutions and support relationship managers in making the best decisions for the customer and bank in assigned lines of business
  • Analyze existing systems, research and recommend appropriate tools for efficient resource utilization. Develop and implement tools and processes to augment measurements and reporting for treasury and financial indicators
  • Prepare and analyze budget for assigned areas of responsibility
  • Maintain strong relationships with internal and external customers, including regulators and wholesale funding sources. Negotiate and manage relationships with consultants and vendors in providing support, tools, and analysis for corporate and treasury initiatives
  • Minimum 5 years financial experience; preferred emphasis in finance and treasury
  • 1-3 years management experience preferred. Will manage 1-5 staff.- Possess extensive knowledge and understanding of loan, deposit, investment, and borrowing products from analytical, behavioral, pricing, and management perspectives
  • Demonstrate ability to analyze and interpret data and present information to various customers, including executive management. Ability to understand how decisions impact margins, profitability, and risk
  • Extensive knowledge of GAAP and regulatory reporting and compliance, financial institution policy and internal control structure, complex financial structures, and merger and acquisition analysis and processes
  • Proven communication and negotiation skills, and ability to coach, develop and mentor employees to meet or exceed desired performance expectations
  • Advanced knowledge of and skills in financial management, modeling and data management software. Proficient in MS office applications
  • Ability to manage and prioritize complex concurrent projects in a deadline-oriented environment
39

Treasury Manager Resume Examples & Samples

  • Oversee daily management of cash and debt (tracking cash balances at our banks and where applicable daily borrowing position)
  • Work closely with Accounts Payable to ensure transactions are correctly recorded
  • Provide guidance and support of the bank account reconciliation process performed by General Accounting
  • Analyze historical cash flow to determine trends that can be used in the forecasting model
  • Work with groups outside of Treasury to provide necessary forecasting data to improve the overall forecast
  • Manage month-end closing reporting with corporate accounting, including maintenance of loan schedules and corresponding loan agreements, and validation of cash and debt balances reported in the balance sheet
  • Aggressively manage bank fees structure continuously finding ways to reduce the fees structure and maximize available cash, heavily focusing on optimization of our banking structure
  • Implementation of policies and procedures, including compliance with internal controls
  • Minimum of five years’ experience
  • Demonstrates a sense of urgency and professionalism in meeting the needs of customers or internal partners
  • Acute attention to detail and organization
  • Knowledge of Microsoft Office suite, with expertise in Excel
  • Familiarity with Elite (Legal Financial System) a plus
40

Treasury Manager Resume Examples & Samples

  • Support funding and all other banking requirements of wholly owned divisions and joint ventures in China
  • Closely monitor business divisions’ cash flow and key financial ratios to ensure compliance under internal guidelines and credit facility covenants. Identify potential issues and recommend solutions
  • Support the line manager in managing banking relationships, credit facilities, funding negotiations, documentations, cash management, electronic banking and Treasury improvement projects
  • Responsible for various Treasury reporting on cash positions, cash flow forecast, currency exposures and bank draft utilization
  • Other duties as required by the line manager
  • 6-8 years China MNC corporate treasury experience
  • Familiar with Chinese banking industry, experienced in dealing with major Chinese banks
  • Familiar with Chinese regulatory restrictions (SAFE / PBOC / MOFCOM) and requirement and procedures for new legal entity setup
  • Experience with Joint Ventures strongly desired, both Greenfield and integration after acquisition
  • Bachelor’s degree in Accounting / Finance with 6 years+ treasury experience in an MNC manufacturing environment
  • Excellent knowledge of MS Office (Word, Excel, PowerPoint). Experience with Treasury Management Systems, e.g. SunGard Integrity desired
  • Strong ability of partnership with business divisions
  • Strong analytical skill and communication skills dealing with both external and internal parties
  • Attention to details. Ability to work under pressure and manage multiple tasks simultaneously
  • Comfortable with regular business travel in China
41

Treasury Manager Resume Examples & Samples

  • Assisting with company acquisitions/mergers/disposals in LATAM and Central European regions
  • Cash Flow Projections and Reporting
  • Maintenance of efficient bank account structures
  • LATAM & Central European banking and cash management expertise
  • Risk monitoring for LATAM and Central European regions
  • AML / KYC conformity with bank requirements
  • Being pro-active regarding all treasury aspects of the specific regions
  • Approval ability for all electronic bank transfer systems
  • Use of Treasury Management System – SunGard Quantum 6
  • Ad Hoc project work
42

Treasury Manager Resume Examples & Samples

  • To manage treasury and financial risks
  • Interact with banks and monitor bank activites based on company norms, procedures and tools
  • Draw up accurate treasury forecasts and develop an information network enabling anticipation of cash flow to secure and optimize cash flow
  • Manage foreign exchange risks coverage by implementing currency hedging with Group's Treasury
  • Ensure compliance and correct application of the L'Oreal Financial Charter
  • Implement and lead Treasury's projects and provide advice/warning of financial risks
  • University graduate in Finance, Accounting or related fields
  • 5 years working experience in Treasure and/or Finance. Previous Big4 experience is a plus
  • Solid understanding of treasure systems, financial analysis and accounting systems
  • Team leadership, analytical and critical thinking skills, problem solving aptitude
43

Treasury Manager Near Resume Examples & Samples

  • Supervise a team of Corporate Treasury Analysts
  • Manage payment processing and fraud prevention services
  • Daily cash reconciliation of operating transfers and preparation of journal entries
  • Implement systems to enhance processes for daily cash position
  • Cash forecasting
  • Evaluate bank fee variances monthly
  • Support gift card management and related process changes
  • Oversee new set-ups for bank accounts and credit card settlement
  • Review monthly credit card activity and fees provided by analyst
  • Monitor corporate treasury contracts expirations and renewal pricing
  • Apply financial cost/benefit analysis for business decisions
  • Maintain internal departmental policies and procedures
  • Bachelor’s degree in financial / accounting related field
  • Minimum of three years of combined experience in Treasury, and Credit Card Management, with exposure to multi-merchant set-ups for credit card processing as well as relationship management of multiple payment processors and gateways
  • Prior Gift Card Management experience is a plus but not required
  • Prior experience in hospitality, restaurants, or retail is a plus but not required
  • Proficient in Microsoft applications, including Word, Access, Outlook; Strength in Excel
  • Motivational and energetic leadership ability, with past demonstrated personnel supervisory and training experience
  • Strong time management skills, with the ability to prioritize to meet critical deadlines
  • CTP credential highly desired
44

Fro-treasury Manager Resume Examples & Samples

  • Also responsible for producing cash flow and various other ad-hoc regulatory reporting
  • Supporting Functional Projects related to CRDIV/Basel III implementation
  • Participate with members of the various disciplines to identify ways to streamline and automate process flows in order to create more accurate and timely results, as well as improving efficiency
  • Involvement in testing, project documentation and understanding regulatory guidelines
45

Treasury Manager Resume Examples & Samples

  • Bachelor’s degree in Business, Finance, or Economics
  • MBA or other advanced degree in Finance preferred
  • Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) a plus
46

Treasury Manager Resume Examples & Samples

  • Act as bridge between cash operations and internal IT groups, evaluating system needs, performing regular testing, and documenting key system characteristics, constraints
  • Manage bank account structure used to facilitate cash concentration and liquidity levels
  • Support treasury wire process including audit documentation and testing
  • Manage daily SWIFT bank statement process
  • Perform ongoing reporting and analysis of key metrics, activities
  • Contribute to cross-functional initiatives and projects as required by manager
  • Bachelor's degree with emphasis in Business Administration/Finance, or a related subject preferred
  • 3-5 years experience in treasury, banking or payments related role(s)
  • Experience with processing, reporting through ERP system
  • Prior experience partnering with IT a plus
  • Excellent problem solving and communication skills with comfort presenting to large groups
  • Ambitious, self-starter, with the ability to multi-task and effectively manage priorities and ambiguity
  • Exceptional attention to detail and ability to work within stringent deadlines
  • Superb business partnering and cross-boundary collaboration skills
47

Treasury Manager Resume Examples & Samples

  • Global Cash, Banking and Liquidity Management - Responsible for bank account opening and maintenance in the region
  • Responsible for banking portal system management in the region
  • Responsible for all regional wire processing including intercompany transfers
  • Assist with all banking-related projects as needed
  • Assist with coordination and management of bank guarantees
  • Assist with cash positioning and liquidity management in all currencies, for the region
  • FX & Insurance - Assist in settling FX trades and intercompany transactions
  • Assist with renewal and maintenance of all Insurance programs in the region
  • Reporting and Compliance - Assist with internal and external audits. Maintain records and provide test data as requested
48

Treasury Manager Resume Examples & Samples

  • The manager is also responsible for the supervision of the collections and cash applications staff
  • Stratify collection activities to maximize cash receipts
  • Contact customers regarding overdue accounts and determine reasons for non-payment
  • Understand, manage, and supervise all aspects of cash flow
  • Forecast daily cash requirements and execute daily financing decisions
  • Manage all aspects of In-house investment portfolios
  • Direct, monitor and trade investment portfolios including Working capital,
  • Manage long-term and short-term investment strategies
  • Determine the Company’s goals and risk tolerance
  • Review and recommend changes to the investment policies based on the market conditions
  • Prepare or monitor company’s various cash flow forecasts and perform financial modeling
  • Evaluate, develop and implement cash management systems to optimize efficiencies
  • Understand and manage appropriate accounting procedures and processes
  • Manage relationships with financial service providers (banks, insurance, etc)
  • Conduct benchmark studies of banks and their services to evaluate whether it fits Granite’s requirements
  • Manage, direct, and develop Cash Management staff
  • Recommend, implement and maintain process improvements
  • Provide technical and other support for mergers and acquisitions and other projects as needed
  • Implement and follow up in new treasury processes such as electronic billing
  • Develop Treasury dashboards and improvements to follow up Treasury KPIs (DSO, DPOs, Working capital days, FX Exposure & Coverage, Accounts Receivable/Payable analysis, Supplier Dashboards)
  • Implementation of Factoring program with suppliers (“Cadenas productivas”)
  • Bachelor’s Degree in Accounting/Finance
  • Extensive experience in preparing cash forecasts and cash flow analyses
  • Experience in the preparation of financial schedules and SEC filings including some disclosures
  • Experience in building complex financial models to evaluate various financial plans
  • Experience in presenting and preparing proposals to recommend new products/services
  • Experience leading, coaching and developing staff
  • Knowledge of investment portfolio strategy, banking, and financial instruments, such as forwards and derivatives
  • Knowledge of treasury software expertise a plus
  • Advanced analytical, organization, and interpersonal skills
  • Advanced spreadsheet and modeling skills
  • Excellent collaboration, verbal and written communication skills
  • Interested in process improvement
  • Internally motivated to seek out answers, generate ideas, and develop new skills
49

Treasury Manager Resume Examples & Samples

  • At least 3 years PQE preferably in similar industry
  • ACT, CIMA, ACCA, or ACA qualified
  • Experience of multi-currency accounts
  • Experienced in dealing with banks
  • Legal background an advantage
  • Foreign languages an advantage
50

Treasury Manager Resume Examples & Samples

  • And another important responsibility will make asset/liability pricing and on-going enhancement of the FTP methodologies. Also you will prepare ALCO pack and participate in ALCO as secretary
  • Furthermore, this role will assist the formulation and monitor of liquidity risk policies and framework and capital reporting, analysis and planning
  • You will also work ALM calculation, reporting and analysis and work ALM response to regulatory report, investigation, questionnaire and self assessment
51

Treasury Manager Resume Examples & Samples

  • Global Cash, Banking and Liquidity Management Responsible for bank account opening and maintenance in the region
  • Responsible for all regional wire processing including inter-company transfers
  • Assist with cash positioning and liquidity management in all currencies for the region
  • FX & Insurance Assist in settling FX trades and inter-company transactions
  • Reporting and Compliance Assist with internal and external audits. Maintain records and provide test data as requested
52

Treasury Manager Resume Examples & Samples

  • Coordinates and analyzes daily cash management operations providing timely and accurate cash flow information for investment purpose
  • Analyzes and forecasts cash movements
  • Executes and manages foreign exchange transactions and money market dealings maximizing yield on monetary transactions
  • Responsible for cash and liquidity management
  • Reconciles interest expenses calculated by banks against interest calculated
  • Reconciles investment statements from banks against investment register; oversees cash transactions and liquidity position
  • Reconciles borrowing letters from banks against loan register
  • Responsible for check reversals, stop payments and retrieval of check copies through on-line banking system
  • Responsible for reviewing and initiating domestic and foreign electronic fund transfers as well as other electronic payments
  • Receives, monitors, deposits and records all incoming funds (cash, checks, electronic transfer)
  • Accurately and promptly records all receipts of funds, electronic transfers and other miscellaneous financial transactions in the general ledger system
  • Bachelors degree in business, finance or accounting with 4 to 8 years of experience in the treasury or accounting field
53

Treasury Manager Resume Examples & Samples

  • Designing interest rate risk hedging strategies,
  • Performing deep dives into retail product modelling; identify necessary enhancements or areas of improvements,
  • End-to-end ownership of projects to enhance the measurement of market risk of the Bank,
  • Working with Market Risk Control and TBSM teams to calibrate market risk limits for all banking books,
  • Reviewing, understanding and implementing various regulatory changes related to the market risk in the banking book,
  • Fostering strong relationship with all stakeholders related to market risk management (TAG, Front Office, MRMA, Market Risk Control, Capital Market Risk Management)
  • Communication of key proposals, findings and analysis through memos, power point slides, and personal interaction with the TBSM senior management
  • In-depth knowledge of various forms of market risk, including interest rate risk, credit spread risk and foreign exchange risk
  • Strong understanding of valuation principles as they relate to wholesale financial instruments, particularly IR derivatives, and retail products, including retail instruments with embedded optionality
  • Knowledge of hedge accounting concepts is an asset
  • Experience working with large quantities of data. Experience with SQL or other databases is a definite asset
  • Ability to effectively summarize and communicate findings and proposals to a wide range of audiences
54

Treasury Manager Resume Examples & Samples

  • Build and maintain international and domestic banking relationships
  • Set up and manage foreign bank accounts (100+ accounts)
  • Work with a team of 5 treasury professionals, no direct oversight, and frequent communication with finance teams both in office and overseas
  • Experience with foreign exchange and hedging – ability to act as or become SME in both
  • Various projects as needed; including cost saving initiatives, M&A integration
  • Bachelor’s degree is required – Accounting / Finance or Business
  • Minimum of four years job related experience is required
  • CTP/ CCM certification – or actively working towards
  • Experience in a larger corporate environment / corporate funding exposure
55

Senior Treasury Manager Resume Examples & Samples

  • Responsible for the APAC cash and liquidity management, explore new cash pool opportunities for the business
  • Banking facilities review and support the allocation of credit line
  • Formulate foreign exchange commodity hedging strategies
  • Support APAC treasury project management in upcoming M&A activities
  • Assist in existing business units in setting up and bank accounts' approval
56

Treasury Manager Resume Examples & Samples

  • Foreign Exchange reporting, Corporate Liquidity, Credit rating, Banking Relationships, Derivatives, and Hedging
  • Operational Accounting responsibilities including: month end close, FP&A, bank reconciliations, cash forecasting
  • Forecasting: Prepare revenue forecast for current quarter, full year and next 18 months. Develop independent point of view on risks and opportunities
  • Preparation of board packages and ad hoc presentations for the executive management
  • Lead initiatives to continuously improve and automate forecasting and reporting tools
  • Partner effectively with the accounting team to complete month-end responsibilities, including accruals and allocations
  • Design and implement corporate metrics and financial models for tracking and performance measurements
57

Treasury Manager Resume Examples & Samples

  • Bachelor's Degree in Finance, Accounting or related field
  • 5+ years’ experience in global Treasury/Finance Operations with solid working knowledge of accounting and cash processes
  • Independent and innovative thinker who can identify problems and follow through on instructions
  • Solid written and oral communication skills
  • Ability to work on multiple projects simultaneously while adhering to various deadlines
  • Strong analytical skills and meticulous attention to detail
  • Strong systems knowledge of MS Excel, Word, and global cash management operating systems linked to financial institutions
  • Knowledge of Fed, SWIFT, FX, Global ACH and Clearing House Interbank Payments
  • Experience with Letters of Credit, Loans and other debt instrument processing
  • Experience with cash/bank management systems, accounting concepts, and internal controls
  • Exhibit strong analytical and problem-solving skills with the ability to work independently and manage multiple time-sensitive assignments simultaneously
  • Deep knowledge and understanding of leading Treasury technologies
58

Treasury Manager Resume Examples & Samples

  • Ensure financial resources in the region are managed in a prudent manner given internal and / or external constraints, such as the UBS legal structure, ”trapped” liquidity requirements, entity capitalizations, regulatory limitations, etc
  • Partner with, and advise, Divisional and Country leadership to plan and manage financial resources in a manner that supports the businesses and UBS Group strategy while maintaining a prudent risk position
  • Chair and represent APAC Finance on the Country Asset / Liability Committees
  • Lead all correspondence with regulators in the assigned countries and review all treasury related regulatory reports
  • Ensure proper cost allocation of capital and funding charges down to the business unit level within the region. These costs are determined by various factors, including the UBS’s Funds Transfer Pricing model, liquidity and capital stress scenarios and regulatory demands
  • Govern the evaluation and approval of treasury aspects of new business initiatives in the region
  • Extensive experience in the Treasury department of a financial institution with a preference for prior experience in finance, risk, or capital markets
  • Demonstrated ability to work cross-functionally with senior finance, risk and business professionals
  • History of developing and maintaining relationships with regulators through effective communication of processes, strategies and risks
  • Knowledge of banking regulations in the respective jurisdictions
  • Strong understanding of both investment banking and wealth management business models
59

Treasury Manager Resume Examples & Samples

  • Supporting the Head of Treasury develop appropriate facilities, risk mitigation activities & hedging strategies to effectively manage the Group’s foreign exchange exposures
  • Management of the Group’s foreign exchange hedging activities & operational processes for the business, and then on-going daily/weekly exposure management
  • Development & on-going operation of Treasury foreign exchange reporting & analysis for Senior Management
  • Review and enhancement of the Group’s foreign exchange forecasting capabilities and reporting
  • Working with financial planning, accounting, business intelligence teams and other stakeholders to align FX data & reporting to better understand currency impacts on the business
  • Supporting International teams to; understand currency impacts on consumer demand; forecast currency requirements and international budgeting
  • Assist the financial Accounting team for accurate recording & accounting of Treasury foreign exchange transactions
  • Maintaining working relationships with all foreign exchange counterparties and relevant contacts
  • Maintenance of banking systems & facilities required to support the businesses foreign exchange activities
  • Assisting the Head of Treasury with any other ad-hoc work/projects
60

Treasury Manager Foreign Exchange Resume Examples & Samples

  • Responsible for global currency hedging, including managing balance sheet currency risks, implementing strategies to reduce risk within policy parameters, analyzing accounting results to expectations
  • Oversees currency reporting, responsible for ensuring accounting activity related to derivatives and FAS133 (ASC 815) standards
  • Analyzes inter-company balances and cash positions, and assists in leveraging SAP to settle balances
  • Supports Accounting with complex SAP inquiries related to FX related transactions
  • Ensures that FX transactions are properly accounted for
  • Prepares Financial Disclosures related to Foreign Exchange
  • Evaluates/implements Cash Flow hedging program
  • Assists with inter-company and royalty payment settlements and the related FX impacts
  • Identifies FX exposures of unsettled inter-company positions
  • Recommends mitigation of exposure through FX hedging
  • Performs share-repurchase analysis
  • Serves as back up for Cash Flow and Balance Sheet model
  • Manage oversight of Company Credit Card Program
  • Maintains intercompany loan database and responsible for booking relevant interest entries
  • Four year college degree in Finance, Accounting, Business Administration or related field / MBA and CTP preferred
  • 6 to 10 years of relevant experience
  • International company experience with solid understanding of Accounting and Foreign exchange concepts
  • FX exposure management experience including executing derivative strategies and familiarity with FAS52 and FAS133 (ASC 830 and 815)
  • Excellent SAP ERP skills and Journal Entry experience
  • Advanced spreadsheet skills and database application software such as MS Excel
  • Strong communication, analytical, written and interpersonal skills
  • Ability to identify inefficient processes and offer solutions for improvement
61

Treasury Manager Resume Examples & Samples

  • Directly manage all day-to-day cash/treasury functions including but not limited to: cash management strategies, corporate borrowing, investing, cash flow planning and forecasting, foreign exchange management, cash receipts, cash disbursements, and accounting for all cash activities
  • Provide thought-leadership and best practices for all cash management processes and procedures, including: treasury reporting, market intelligence and updates, investment recommendations, process improvements
  • Assist in providing analytical and strategic input on the Company's capital structure including but not limited to: Bank Credit Facility, Capital Markets, other structures
  • Assist in developing finance and business presentations such as: Board of Director presentations, Executive Staff presentations, and lenders' and investors' presentations
  • Influence and guide cash management throughout the organization
62

Treasury Manager Resume Examples & Samples

  • Building and maintaining banking and investor relationships and reporting
  • Managing financing for equipment and other fixed assets as well as large projects
  • Assessing acquisitions and completing due diligence on possible acquisitions
  • Bachelor degree in accounting, finance, or related field
  • Four to seven years (4 – 7 years) of treasury experience
  • Excellent communication skills and ability to adapt quickly to changes
63

FRO / Treasury / Manager Resume Examples & Samples

  • Calculation of liquidity ratios to allow management to monitor changes in structural liquidity
  • Must possess strong knowledge of business and balance sheet composition
  • Risk Management, Financial Control, Audit, Operations, Team Management etc
  • Treasury experience in an Investment Bank is a plus (Preferred)
64

Treasury Manager Resume Examples & Samples

  • Manage all lockboxes as well as concentration accounts
  • Oversee daily cash reconciliation between bank activity and activity posted in Great Plains
  • Forecast interest expense and income
  • Implement process improvement through system automation
65

Treasury Manager Resume Examples & Samples

  • Maintain relationships with financial institutions during RFPs
  • Manage capital expenditure budgets for all entities
  • Forecast the compliance certificate and present ratio analysis
  • Assist with quarter end earnings calls and investor presentations
  • Four to seven years of experience within a treasury function
  • Highly skilled in Excel and other Microsoft Office products
  • Strong communication, leadership and collaborative skills
66

Cib-treasury Manager Resume Examples & Samples

  • Identify, implement & control new regional liquidity & investment models
  • Execute currency & collateral optimisation & investment trades
  • Define, implement & govern operational funding & optimisation strategies
  • Control & invest regional capital
  • Produce and analyse regional NII
  • Actively monitor and control regional TCP & Equity Investment RWA
  • Partner with Finance & CIB Treasury to ensure correct stress, capital & FTP allocations applied
  • Build strong relationships with regional Treasurers internally & at external CCP’s & Banks
  • Partner with Operations, Business Management, Product & Tech to grow the business in a controlled manner
  • Partner with Pricing Team to ensure full understanding of regional liquidity costs are applied
  • Actively support regional business manager
  • High levels of self motivation
  • Ability to confidently interact with senior management
  • Ability to challenge existing processes & where appropriate drive & implement change
  • Previous experience within a Treasury role (preferably from an F&O & OTC trading environment)
  • Understanding of capital and balance sheet management
  • Experience of managing a regional P&L
  • Strong systems skills, especially excel
  • Understanding of forthcoming regulatory changes within the F&O and OTC products
  • Understanding of regulatory liquidity stress testing
67

Treasury Manager Resume Examples & Samples

  • Daily banking and treasury operations management
  • Forex Management
  • Interest and charges reconciliation
  • Cash forecast and actual reporting
  • Payables Management - Timely settlement of obligations to trading partners and group
68

Treasury Manager Resume Examples & Samples

  • Manage loan portfolio and financing structures for Luxembourg financing entities including loan input, report analysis, loan reconciliation and proposed loan structures
  • Develop and maintain intercompany counterparty risk framework to support the loan portfolio; develop, maintain and analyze cash forecasting model for all EMEA entities
  • Advise the Luxembourg Boards in relation to treasury reporting, documentation and finance portfolios; provide guidance and support on treasury related matters to other functions and businesses across EMEA
  • Work with the tax and legal department on entity restructures, capitalizations and dividends
  • Work with wider EMEIA Treasury Operations team on daily activities and risk management; ensure implementation and compliance of Group Treasury policies as well as Sarbanes Oxley in departmental processes
  • Support the issuance and management of Trade Guarantees
  • Lead or collaborate on ad hoc projects
69

Treasury Manager Resume Examples & Samples

  • Execute daily cash management deliverables or activities covering multiple portfolios and entities across multiple countries
  • Ensure sufficient funds are available and liquidity is adequate for working capital needs
  • Prepare daily cash forecast from company’s operational forecast
  • Suggest improvements to corporate banking infrastructure
  • Review, interpret and execute on compliance and other reporting requirements for all financings, including maintaining debt schedules, regular securitization reporting, and compliance reporting
  • Ensure documentation for all bank accounts and bank credential access, including signatories and authorization levels, is maintained and updated on a regular basis
  • Resolve a wide range of business issues by applying judgment and technical cash management knowledge
  • Assist with internal and external auditor requests – preparing documentation, conducting process walkthroughs and defining control procedures ensuring SOX compliance
  • Remain current on new banking products, regulations, standards and treasury best practices to make informed recommendations to operational leaders and management concerning the implementation of operational changes
  • Develop, install and monitor systems, policies and procedures to efficiently and securely move funds within the company and to third parties
  • Assist with insurance renewals, capital markets transactions, and foreign exchange hedging
70

Treasury Manager Resume Examples & Samples

  • 5+ years treasury experience
  • CTP preferred
  • Foreign exchange experience is a plus
71

Treasury Manager Resume Examples & Samples

  • Responsible for reviewing money market funds
  • Responsible for preparing investment presentations to senior management
  • Supports Treasury operations team on cash management and forecasting
  • Acts as advisor to professional staff to resolve technical problems
  • Responsible for portions of treasury operations’ adherence with SOX compliance and adherence to board approved treasury policies
  • Maintains proper internal controls
  • Acts as lead 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
  • 8+ years of relevant experience and a BA or BS in Finance, or Accounting. MBA and/or CFA are a plus
  • Requires a solid knowledge in investment management theory
  • Experience in managing multiple managers and asset classes is preferred
  • Strong proficiency in finance and treasury accounting knowledge of ASC 320 and other Treasury related accounting standards
  • Superior financial modeling and due diligence skills
  • Outstanding ability to combine focus and attention to detail
  • Superb organizational and analytical skills are a must
  • Knowledge of life science, healthcare, biotech experiences a plus
72

Treasury Manager Resume Examples & Samples

  • 7+ years in international treasury including cash management, FX and bank relations
  • Experience in large, complex, multi-national corporations
  • Experience with centralized Treasury functions
  • Treasury systems including treasury workstation, derivative execution platforms, and hedge accounting platforms
  • The ability to thrive in a fast paced environment
  • Excellent project management and partnering skills
  • The ability to develop and sustain relationships internally with business units and cross-functionally
73

Payments & Treasury Manager Resume Examples & Samples

  • Design, develop and implement key process improvements within the banking and cash processes in the Order to Cash and Procure to Pay Cycles
  • Use a Lean Six Sigma approach to evaluate each process within Americas Finance Center Finance to reduce waste and eliminate non value added steps, while maintaining key controls throughout the process to mitigate and eliminate risk of fraud, incorrect payments and applications
  • Base analysis on the key principles of root cause analysis and issue resolution used by the Americas Finance Center, based on identifying and isolating the issues through data to drive action to promptly and permanently resolve flaw
  • Design, develop and implement Key Process Indicators and a Balance Scorecard based on agreed Service Level Agreements with the key business partners to give a full picture of compliance to objectives
  • Manage a team of individuals both for Customer Payments as well as Vendor Payments to establish and complete short, medium and long term strategic goals for the organization
  • Serve as a key partner to the Director of the Americas Finance Center and the VP of Finance to successfully complete quality, volume and control goals set forth by the organization
  • Be an instrument on the proper implementation of initiatives that will continue to enhance People, Processes and Systems
  • Ensure proper training of all members of the Treasury team, to make sure there is a seamless induction and onboarding of individuals into the team and making sure that all new processes are documented, trained and implemented successfully
  • Manage resource allocation and reporting to complete all necessary tasks by the team in a timely, efficiently accurate and complete manner
  • Direct and Manage collaboration with the Director of Accounts Receivable, the Accounts Payable Manager and the Cycle supervisors and managers to create an atmosphere of collaboration and team unity, setting important goals of communication and interaction between all groups to enhance a prosper work environment
  • Manage the proper Cash Controls, Cash Applications, Bank Reconciliations for the Americas, Credit and Unapplied Cash, and Cash Management controls in order to reduce backlog in processing of ALL transactions and making sure that monthly results are accurate
  • Ensure the timely and accurate application of Credits, unapplied cash from customers and refunds to customers in order to settle all pending accounts within a reasonable period of time and within the accounting period it was incurred
  • Serve as an important part of the escalation path for Cash issues and drive resolution of the problems encountered within the process and within other allied groups
  • Coordinate and cooperate with key Procure to Pay cycle and Order to Cash teams ensuring that there is an adequate and collaborative environment between teams
  • Develop, refine and ensure consistent and fair application of Company policies and procedures related to associate expense reporting
  • Forecast and anticipate needs of the department to create and maintain a positive working environment conducive to improvement and change
  • Responsible for the month-end closing and reconciliation activities to ensure proper and accurate financial reporting
  • Supervise and Direct the Treasury Supervisor to set team and individual objectives, yearly, monthly and weekly depending on the process needs
  • Knowledge in Cash Collections and Applications process
  • Knowledge in Vendor Payments, Treasury and Cash Transactions
  • Fluency in Portuguese (verbal and written) [preferred]
  • Proven proficiency in use of MS Office Software – Word, Excel, PowerPoint
  • Proven proficiency in use of SAP
  • Proven proficiency in use of Oracle Business Suite
  • Proficiency in use of HFM, SmartView and GL Connect [preferred]
  • Good analytical and problem solving skills and keen attention to detail
  • CPA or MBA [preferred]
  • Green/Black Belt Lean Six Sigma certified or equivalent [preferred]
  • Knowledge of international exchange rates and currency translation
  • Understanding of balance sheet transactions and their effect on financial statements
  • Through understanding of the inter-relationships between Treasury, Purchasing, Receiving and Accounts Payable
  • Through understanding of the inter-relationships between Portfolio Management, Collections, Cash Applications and Treasury
  • Strong presentation communication skills with all the interactions with the various internal and external business teams – good with power-point presentations
  • Must have excellent people skills due to interfacing with all levels of associates both within and outside of the organization
  • Ability to handle stress
  • Highly organized, detail oriented, committed to deliver results, meeting multiple deadlines, and able to work under pressure
  • 8 years in Treasury or related field
74

Treasury Manager Resume Examples & Samples

  • Proficient in Office Excel and PowerPoint
  • Knowledge of banking processes and portals
  • Must have a basic accounting knowledge and an excellent understanding of macroeconomics including financial markets, financial instruments and investment theory. A strong knowledge of Treasury related FASB is preferred
  • Possess knowledge of banking and treasury systems. Prior experience with NetSuite is a plus
  • Strong analytical and communication skills, including verbal and written skills
  • Must be a critical thinker with attention to details who can seek innovative solutions to complex business/technical issues
  • Must be a self-starter, have own initiatives, and possess strong prioritization and organization
  • Ability to multi-task and manage multiple projects
  • A minimum of a Bachelor’s degree in business finance or accounting. CTP qualification is a plus
  • A minimum of 5 to 7 years of experience in domestic and international Treasury with a multinational company with progressive experience in international banking, cash management, financing, FX management and liquidity
75

Treasury Manager Resume Examples & Samples

  • Managing the day to day functions of a multibillion dollar global FX hedging program, including FX exposure identification and analysis
  • Recommending FX hedge positons and adjustments to Head of FX and Treasurer
  • Analyze and review FX program results and contribute to the narrative of the quarterly trial balance review
  • Be a central point of contact for international subsidiaries, retail and corporate functions for consulting and analytical support for capital structure evaluation and debt restructuring
  • Lead company-wide cash repatriation and International subsidiary financing efforts by partnering with Tax team
  • Ensure the adequacy of internal controls to achieve effective and efficient monitoring of financial covenants compliance & disclosures for the SEC, debt holders, stockholders, auditors and our Tax Department
  • Develop and monitor FX/IR rate and counterparty credit risk program advising Executive leadership on changes
  • Calculate WACC and global WACC as a framework for investment decisions
  • Administrate Treasury Workstation, partnering with IT to implement a new TMS system
  • Support on capital market and Investor relations initiatives as needed
  • Drive effective ad-hoc Treasury projects and presentations
  • Minimum 5 years of accounting, financial reporting and forecasting experience
  • Minimum 4 years relevant experience in an international treasury environment
  • An enthusiastic team player with willingness to lead challenging projects
  • Solid knowledge and experience with FX management and accounting standards as well as compliance requirements under FASB 52, FASB 133 and FASB 157
  • Ability to take initiative and to manage multiple work-flows simultaneously
  • Analytical, independent, strong sense of customer service, superior attention to detail and strong problem solving are attributes for success in the role
  • Advanced Excel and presentation skills
  • Possess strong written and verbal communication skills to build strong relationships within a global company with multiple cross functional leadership levels
  • CTP credential, Proficiency in Hyperion Essbase, Chatham direct, Kyriba and Bloomberg are all pluses
76

Treasury Manager Resume Examples & Samples

  • Manage the day-to-day liquidity positions resulting from the parent company’s as well as Mondelez International Finance’s (MIF) cash pooling structures and intercompany loan activities. Arrange intercompany loans including cash mobilizations/repatriations to the U.S. in close co-ordination with corporate tax, regional and local affiliate management. Setup new cash pools and integrate additional entities into existing pools. Issue US and European Commercial Paper for the parent company. Coach affiliates on forecast accuracy
  • Manage day-to-day liquidity positions of non-pooled affiliates and in-country cash pools which are not part of the MIF position but managed centrally in the wake of the Treasury Centralisation Project (Centre of Excellence). This includes defining/executing FX Spot trades that are required as part of the daily liquidity management of such entities and cooperating with external service provides (cash forecasting and AP/AR teams)
  • Lead all of MIFs FX management related activities
  • Manage the treasury operations / executional aspects of complex repatriation and legal entity / interco debt restructuring projects
  • Manage Treasury projects (especially the further centralisation of all FX executions)
  • Assist in the constant improvement of the Treasury Processes and the Global Treasury System with the goal to increase the operational efficiency with special focus on FX management
  • Act as backup for Sr. Manager Treasury as well as: the management of the day-to-day liquidity positions and intercompany loan activities; the s/t funding of the parent company through the issuance of Commercial Paper
  • Prepare ad-hoc reports and analyses for internal and external counterparties; analyse treasury reports for accuracy and completeness
  • Must have University degree and general/basic background in Treasury (preferred) or another Finance area
  • Min. 8 years of experience in treasury front office
  • Banking background ideally with strong emphasis on FX and money market products and ideally some trading experience
  • Work experience within a large multinational’s Treasury or Finance department
  • Excellent knowledge of European and U.S. banking practice and corporate treasury function
  • Requires strong PC skills, fundamental knowledge of Microsoft Windows/Office
  • General flair for using software geared to finance/treasury
  • Excellent writing and presentation skills with the ability to package and sell ideas and concepts
  • Ability to communicate fluently in English and at least one other language
  • Further languages considered as an asset
  • Solid mathematical and strong analytical skills
  • Flexible team player who demonstrates a thorough concern for order and quality, enjoys working under pressure and knows how to set priorities in a complex and fast moving environment
77

Treasury Manager Resume Examples & Samples

  • Execution and management of the end-to-end liquidity stress process for BNYM SA/NV at the consolidated level including preparing and running the liquidity stress tests, compiling various stress scenarios, agreeing stress assumptions and behavior assumptions, modeling scenarios, identifying main drivers for adverse liquidity, analyzing and documenting the results determining liquidity sufficiency or otherwise propose recommendations / mitigating actions for compliance, and present the results to the Belgium ALCO
  • Execution of the Liquidity Policy and Contingency Funding Plan for BNYM SA/NV at the consolidated level and for each of the BNYM SA/NV Branches. Responsible for ensuring adequate testing / simulation of the Contingency Funding Plans (CFP) and Capital options
  • Execution of the Capital Policy and Capital Plans for BNYM SA/NV
  • Daily monitoring of internal and external regulatory liquidity, IRR and capital metrics including Early Warning Liquidity Signals to ensure compliance with the internal triggers and external limits. Investigate and analyze in the event of exceptions
  • Act as contact point for Treasury related input and review of Recovery and Resolution Planning process including set-up of liquidity and capital trigger framework, identification of liquidity and capital related recovery options and liquidity stress testing for recovery planning process
  • Perform oversight of Treasury outsourcing arrangement with BNYM Corporate Treasury regarding Portfolio Management activities and money market execution
  • Alert management including the Chief Risk Officer immediately of any significant changes to business risks and internal control effectiveness
  • Notify management and/or the Chief Compliance and Ethics Officer and Head of International Compliance immediately on discovery of any material regulatory breach
  • Languages: Fluency in English. Understanding of French or Dutch will be an added advantage
78

Treasury Manager Resume Examples & Samples

  • The successful candidate should have a strong understanding of corporate finance concepts, in addition to strengths in the following areas: communication skills, project management skills, analytics, flexibility, collaboration, learning orientation, and process orientation
  • Experience in risk management strategy and execution, specifically related to foreign exchange and interest rate exposures
  • Experience in capital market and project finance transactions
  • Experience working for or with a non-investment grade firm a plus
  • The candidate will have a bachelors in business, or equivalent experience. A masters degree in business is preferred
  • Minimum of 7 years of experience in corporate finance or a related field
  • Minimum of 2 years of experience in a Treasury role with an emphasis on capital markets, risk management or structured finance
  • Bachelor’s degree in Accounting, Finance, Business, or a related discipline from an accredited institution
  • Masters in Business Administration, Accounting, Finance or related discipline from an accredited institution
  • Proficient in Microsoft Excel, Bloomberg, Reuters, and other common financial program
  • Minimum of 7 years of experience in risk management strategy and execution, specifically related to foreign exchange and interest rate exposures
79

Senior Treasury Manager Resume Examples & Samples

  • Manage daily cash flow and provides forecasts to ensure no idle funds and to maximize returns from cash deposits
  • Oversee and ensure smooth expense payment and accrual processes
  • Owner of daily unit linked funds trading operation and fund valuation process
  • Ensure accurate and prompt fund transactions and accurate fund prices are issued daily and participates in all unit linked funds product launches and initiatives
  • Lead all cash operation related projects and provides guidance and oversight on various other ad hoc Finance projects as assigned. Continue to streamline operational processes
  • Lead and develop the team to support the treasury, payment and unit linked funds valuation functions
  • Manage effective working relationship with banks, custodians and investment managers
  • Work closely with finance teams for all treasury activities and alerts management of potential issues. Provide treasury related supports to internal clients
  • Establish and oversee all treasury, payment and unit linked funds valuation related policies and procedures
80

Treasury Manager Resume Examples & Samples

  • Supervise global cash management activities, encompassing systems planning and implementation as well as daily operations
  • Manage disbursement policies & compliance
  • Administrate bank guarantees and credit lines for domestic and overseas borrowing
  • Provide global visibility and control over debt, cash and investments
  • Manage operations of European finance company - transactions, systems, reporting, FX Exposure tracking
  • Develop and implement cash management systems and procedures globally
  • Manages the cash position of the company by calculating the cash inflows and outflows. Plan and coordinate cash movements between Corporate and business units
  • Manage renewal and negotiation of credit facilities
  • Manage the flow of funds between company banks and business units to fully utilize funds
  • Supervise bank analysis for proper billing and services
  • Negotiate bank pricing to ensure best cost for banking services. Analyzes bank fees, recommends cost savings, and maintains bank accounts
  • Coordinate changes in the global banking structures to ensure proper cash flow
  • Primary contact for business units and banks on all cash management issues including credit line requirements, investments, and trade finance. Acts as a liaison between banks, Executive Management team, internal departments, and the venues to resolve any transaction discrepancies. Researches and resolves client inquiries and bank variances
  • Ensure proper operation of worldwide netting system and all wire transfers systems to ensure proper security and cash flow
  • Manage Strategic cash cycle opportunities: Design, implementation and operation of payment factories; Purchasing card – manage standard and Single Use card programs; Develop strategies to decrease DSO, etc
  • Prepares customized reporting regarding cash management including but not limited to: estimates, calculation of net cash position, analysis of bank activity and assessment of investing/borrowing activity
  • Maintains communication to ensure efficiency between Internal & External audits of cash handling
  • Automate processes & develop workflows to ensure efficient operations. Coordinate Treasury data requirements, processes & automation efforts. Implement and manage all required Treasury operations systems and software
  • Manage the set up new companies in cash management system and open bank accounts for business units and subsidiaries
  • Supervise associates involved in department activities, including assigning and reviewing work and evaluating performance. Supervise, delegate, and prioritize workload. Train staff on policies, procedures, and internal controls
  • Monitors performance, provides regular feedback and conducts employee performance reviews. Encourages and facilitates implementation of improvements and development
  • Foster employee engagement and ensure that business and operational goals are effectively communicated to employees. Acts as a role model and ensures compliance with company policies and procedures
  • Promote a positive working environment that encourages employee involvement to achieve excellence in productivity, customer service, quality, and Environmental Health & Safety (EHS)
  • Actively participates and initiates process improvements to organizational processes
  • Demonstrates leadership behaviors that supports continued growth and development and company mission and values
  • Performs miscellaneous duties and special projects as assigned
  • Masters degree in Finance or Business preferred
  • Licensed CTP preferred (Certified Treasury Professional)
  • Extensive knowledge of cash management principals, bank products, and bank services
  • Thorough understanding of investments, bank account management, hedging, and international funds flows
  • Solid analytical and quantitative skills and exceptional written and verbal communication skills are mandatory
  • Demonstrated success and proven ability to multi-task, adhere to strict guidelines, work well with others, and complete tasks with discretion, accuracy and attention to detail in a fast paced and demanding work environment
  • Bachelors degree in Finance or directly related field
  • At least 5 years of experience with at least 2 years of managerial experience
  • Proficiency with Excel, Outlook, and online bank systems
81

Treasury Manager Resume Examples & Samples

  • Debt compliance
  • Internal controls for the Treasury department
  • Management of securitization reporting and compliance
  • Oversight and management of US and Canadian cash management and forecasts
  • Ad hoc financial analysis
  • Project work, including implementing new banking and reporting solutions
82

Treasury Manager Resume Examples & Samples

  • Responsible for managing the company treasury functions, its subsidiaries and affiliates
  • Responsible for cash flow forecasting and liquidity management for the Group
  • Build and maintain relationships with external parties including banks
  • Responsible for maintaining and managing the TMS
  • Provide work direction for the treasury accounting team ensuring cash movements, rate resets, debt & interest payments are processed accurately and on a timely basis
  • Responsible for the execution of corporate foreign exchange and IRS hedging strategies
  • Managing cash position by investment in secure products
  • Join deal teams as treasury participant in respect of debt drawdowns, aircraft deliveries, aircraft sales, etc
  • Management of financial covenant reporting and compliance required under facility agreements
  • Preparation of management reports from a treasury perspective
  • Ensure compliance with internal controls, policies and procedures. Develop and monitor treasury operational policies. Manage Sarbanes-Oxley compliance for Treasury operations
  • Preparation of company disclosure requirements for statutory accounting including hedge accounting
  • Provision of support to the corporate finance team as required
  • The role will require significant involvement in the systems implementation project currently underway and ad hoc project work as it arises
  • Experienced treasury professional minimum 4-6 years' relevant managerial experience
  • Accounting or treasury qualification
  • Knowledge of the aviation industry, aircraft leasing desirable
  • Excellent attention to detail and numerical ability
  • A positive team approach, capable of working on own initiative
  • Strong Excel skills
83

Senior Treasury Manager Resume Examples & Samples

  • Responsible for group treasury function, including cash management, placements, cash pooling, currency planning and hedging as well as possible future debt financing
  • Responsible for group overall treasury strategy, plan and operations
  • Responsible for cash management and safeguarding of company cash
  • Responsible for coordination of cash forecast from countries and cash pooling as required
  • Responsible for currency planning, hedging strategy and implementation
  • Responsible for overlooking cash transactional flows in the system to ensure optimization and high accuracy
  • Solid treasury experience and background in cash, debt, transactions and currencies
  • Diligent, deliver quality and a person with high integrity
  • Good communication skills and strong knowledge base in treasury area
  • Experience from leading treasury operations on a regional scale
  • More than 10+ years experience
84

Assistant Treasury Manager Resume Examples & Samples

  • Oversee the duties of the Treasury Analyst position and act as a backup to this position
  • Assist the hotels with all bank related issues and requests for banking services including monitoring bank fees for established services
  • Establish Treasury Management best practices for Shared Services
  • Ensure HSSC Treasury is compliant with Corporate Treasury policies and procedures
  • Review bank agreements and service level documents with participating banks and manage banking relationships as it pertains to HSSC
  • Evaluate and maintain bank system security to insure compliance with corporate standards and conduct user access audits on a quarterly basis within all banking websites
  • Assist Hotels with banking site issues through research and administrative support
  • Analyze and recommend process improvements related to current banking services and functions
  • Various other duties and responsibilities may be required or assigned as needed
  • Regular attendance is expected based on schedule and business needs
  • Participation in employee events, onsite meetings, hotel visits and industry conferences is expected
  • Work well with others at a variety of levels within the organization
  • Maintain a work environment that is comfortable, user-friendly, and organized
  • Ability to adapt to new demands, reprioritize workload and address urgent demands quickly
  • Ability to communicate effectively and respectfully to all associates and all internal/external resources
  • Eagerness and ability to learn new skills, technologies and business processes quickly
  • 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
  • Ability to maintain confidential employee information
  • 3-5 years of relevant experience in Commercial or Corporate Banking or Finance role
  • 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
  • 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
85

Treasury Manager Resume Examples & Samples

  • Managing and overseeing the Company’s Treasury Operations in EMEA
  • Coordinating and implementing all Treasury aspects of Corporate Tax Planning transactions in EMEA in collaboration with Corporate Tax, other Regional Treasury Centers and the Global Financial Risk Management Group
  • Responsible for EMEA Treasury Budget and Controlling
  • Sustain EMEA Cash Management Projects
  • Support Treasury Director in providing Treasury Advisory Services to Business Units
  • Minimum of 5 years of relevant working experience in the treasury department of a large international company
  • MBA Graduate with a major in Finance
  • Good understanding of financial markets, financial instruments and cash management
  • Knowledge of Treasury Systems (Quantum preferred), Payment Factory Systems (Trax preferred), Inter-company Netting and SwiftNet connectivity
  • Knowledgeable of U.S. and International Accounting and Tax standards and legal framework
  • Leadership experience and capability to integrate coaching, counseling and mentoring
  • Detail oriented; strong analytical and communication skills
  • High standard of professional excellence and reliability; poised personality, well organized, capable of taking initiatives and work in a team based environment
  • An energetic, creative, results-oriented organizer with a focus on value adding processes and customer service
  • Fluent in English and German (other languages a plus)
86

Treasury Manager Resume Examples & Samples

  • Consolidate all treasury related controls functions embedded operations into the treasury department (account reconciliation, Account opening, analysis statement monitoring, reconciliations, etc.)
  • Create, update, and maintain all operational treasury process documentation
  • Supervise the daily account reconciliations for all operational bank accounts
  • Supervise the review of bank analysis statements versus the contracted rates and address incorrect billings with the appropriate financial institution
  • Timely filing of all MSB reports
  • Review of T&E rebates vs. contracted rebates
  • Migrate work as needed to India
  • Recruit, hire, train off-shore personnel
  • Ability to work with operating teams and deliver on client expectations
  • Proven track record for improving process efficiencies and solving problems
  • Excellent computer skills – MS Office Excel, Word, Outlook
  • Advanced Excel user
  • Strong research and problem resolution skills
  • Detail oriented, dependable and available to work additional hours as needed
  • Travel up to 40% until consolidation process is complete
  • College degree in accounting/finance/business management highly preferred
  • Experience managing off-shore personnel
  • Experience consolidating functions from remote locations
  • Minimum of 10 years work experience working within and accounting, finance, or collections function
  • Works in an office environment, within a well-lighted work area with good ventilation and normal noise levels from office equipment
  • Frequent standing and/or walking; may have long periods of sitting at desk and intermittently answer the telephone
  • Regular need to write or use a keyboard to communicate through written means
  • Some lifting between 1 to 10 lbs. may be required
87

Treasury Manager Resume Examples & Samples

  • Manage cash operations including forecasting, reporting, foreign exchange (FX) risk management and investments
  • Maintain FX Risk Management, Investments, and Cash Disbursement Policies
  • Manage banking relationships and processes including account management, account security, authorization levels, and cash management system
  • Develop and manage the month-end treasury reporting process
  • Coordinate and own worldwide cash forecasting process
  • Invest idle cash to maximize return
  • Monitor, assess and identify FX exposures and execute, confirm, and settle hedge transactions on behalf of the corporation and its subsidiaries
  • Maintain and enhance internal controls, policies and procedures for treasury activities, ensuring compliance of treasury controls for all cash, FX, debt, stock, and related financial reporting
  • Work closely with accounting, financial planning and analysis and tax to support debt covenant reporting and compliance, hedge accounting, and stock-based compensation accounting
  • Maintain and administer Company’s stock plan including maintaining the relationship with stock plan management providers
  • Various special projects and ad hoc analyses as assigned
88

Treasury Manager Resume Examples & Samples

  • Improve and regularly update capital structure and acquisition monthly and annual models
  • Prepare and analyze monthly, quarterly, and annual reports and calculations for compliance purposes
  • Create capital structure scenarios and plans for capital markets transactions and acquisitions
  • Analyze and create share repurchase strategy and execute share repurchase plans
  • Prepare and analyze interest rate risk management strategy
  • Capital structure planning for budget processes
  • Maintain ratings agency relationships and updates
  • Support Director on annual treasury plan and other capital structure presentations
  • BS in business, finance, accounting, or economics required
  • 2 - 5 years experience required
  • Excel modeling skill preferred
  • Experience in finance and accounting preferred
  • Able to work independently and work in a multi-tasking environment
  • Flexible, team player
  • Strong desire to develop finance/treasury knowledge, both theoretical and practical
89

Treasury Manager Resume Examples & Samples

  • Improve and harmonize processes in center of excellence and oversight countries by on-going review of treasury activities, identify and co-ordinate the movement of transactional treasury activities to Global Business Solutions
  • Identify and manage the financial risks relating to treasury, impacting Singapore and oversight countries
  • Formulate risk management policies to protect adverse impact on the company's results and to support the business achieving their targets
  • Communicate and implement cost-effective methods, best practices and financial processes
  • Assist in the formulation of financial strategies to represent the company in the financial community
  • Support Merger & Acquisition transaction execution and implementation in the respective area of responsibility within Treasury
  • Capture and develop talent in the center of excellence to support its execution and advisory activities
90

Country Country Treasury Manager Resume Examples & Samples

  • Identify and manage the financial risks relating to Treasury and impacting the Country/Region (e.g. if applicable cash management, foreign exchange (FX) management, insurance risk management, export and trade finance, pension management)
  • Designs and implements the appropriate risk mitigation strategies
  • Formulate risk management policies with the aim to protect adverse impact on the company's results and to support the business achieving their targets
  • Best practices
  • Communicates and implements Finance Group directives and instructions locally, ensuring cost efficient and best practice treasury and finance processes are in place within area of responsibility and in line with Group guidelines and practices
  • Drive continuous initiatives and process improvements in Treasury to keep abreast of the latest developments in this area
  • Coordinates Group Treasury function initiatives and projects in the Region/Country
  • Relationship with financial institutions
  • Assists in the formulation of financial strategies, negotiates financial agreements with financial institutions, selects the appropriate financial counterparts and represents the Company in the financial community
  • Financing, investment and liquidity
  • Ensures the Region/Country has the required level of financial sources to support current and future business requirements
  • Structures and manages financing solutions using third-party financing institutions as well as developing new financing initiatives within the Country and/or at Region level
  • Defines strategy and guidelines for the investment of available cash, designs the bank accounts structure (including cash pools) to allow the highest and most effective cash concentration
  • Ensures optimal cash flow and commodity hedging
  • Prepares, implements and enforces the Region/Country Treasury Department budget
  • Manages the department within the assigned budget and resources
  • Internal control/compliance
  • Ensures that internal controls over financial reporting processes are designed and performed effectively and efficiently in the respective areas of responsibility
  • Mergers and acquisitions
  • Supports Merger & Acquisition (M&A) transactions in the respective area of responsibility within Treasury
  • Supports transaction execution and implementation
  • Ensures (with HR Manager support) that the area of responsibility is organized, staffed, skilled and directed
  • Guides, motivates and develops direct/indirect subordinates within HR policies
91

Treasury Manager Resume Examples & Samples

  • Performs or oversees the determination of daily cash position for all assigned entities
  • Ensures proper liquidity management through efficient utilization of available cash and borrowing facilities to fund disbursements while minimizing excess cash balances
  • Ensures proper setup and efficient use of TMS and electronic banking systems to effectively process cash transactions
  • Coordinates, executes and documents borrowing and investing transactions within defined policies and parameters
  • Provides adequate details and documentation to accounting staff to ensure proper posting of cash transactions to general ledger
  • Provides analysis and reporting of all related activities and key performance indicators
  • Provides analysis and projections for short-term cash forecasting
  • Coordinates the accurate and timely processing and transmission of payment proposals through SAP and other electronic banking systems
  • Opens, closes and maintains bank accounts on behalf of all assigned entities
  • Prepares and provides analysis and reporting of cash management banking fees and identifies and recommends opportunities to reduce the cost
  • Identifies and recommends opportunities to create efficiencies, improve controls and reduce costs in the cash management processes
  • Identifies and recommends necessary policies and procedures and supports the company’s SOX compliance initiatives
  • Ensures world-class treasury services are provided to all internal and external customers
  • Manages, motivates and properly utilizes assigned staff members
  • Between 3-5 years of experience in Treasury or related Finance positions
  • ERP knowledge and experience (SAP knowledge is a plus)
  • Ability to learn and grow in a fast paced environment
  • Chemical industry background
92

National Treasury Manager, Brazil Resume Examples & Samples

  • Leading and supervision of a team of 5 providing day to day coaching, task coordination and all aspects of staff development
  • Definition and monitoring of cash management strategy, including forecasting, funding, payments, receipts, investment and foreign exchange transactions
  • Investment of surplus cash, working with BP Treasury Credit to identify appropriate counterparties, with guidance from Treasury Traders to the extent possible and within BP Treasury’s Cash and Banking Operating Standard guidelines
  • Manage foreign exchange (forex) operational liquidity requirements, working with Corporate Risk Management and Treasury Traders to understand forex risks and potential mitigations to both local, Segment and Group level risk; manage operational forex requirements at best prices and integrated with any risk mitigations
  • Forecast medium term cashflows to support operational cash management, investment decisions and liquidity requirements, in both local and foreign currencies
  • Oversee external reporting with Brazilian central bank for all funding and forex activities in Brazil
  • Negotiating trade financing (e.g. documentary letters of credit) and bank guarantees (e.g. standby letters of credit) with bank providers and obtain appropriate parent guarantees
  • Ownership and execution of cash and banking processes and infrastructure, from design to implementation to support, including bank accounts, banking services, banking systems security maintenance, and banking relationships
  • Definition and monitoring of credit risk, foreign exchange risk, operational risk and external compliance procedures
  • Execution of a varied number of ad-hoc projects to support business transactions from Treasury perspective
  • Maintenance of local treasury infrastructure and processes, consistent with BP Treasury policies and operating standards
  • Lead or support adequate internal governance to discharge Treasury Unique Authorities in country
  • Optimize Brazil company equity vs. debt funding, working with BP Treasury’s Structured Finance and Group Funding teams and BP Tax
  • Research and exploit all economic opportunities to repatriate cash to the BP Group
  • Influencing the treasury decisions of the non-operated JVs
  • Preparation of credit and trapped cash quarterly reports in line with Group Treasury requirements
  • Supervision of the Accounts Payable end to end processes
  • Support of the Head of Control in the Region’s quarterly due diligence and financial close processes
  • Support of business managers in working with Joint Venture (JV) partners ensuring appropriate actions are taken to resolve JV audit issues and other financial audits
  • Strong experience in corporate treasury and Cash Management including experience in a multicurrency, multiregional environment
  • Excellent judgment to drive decisions which will optimize BP’s overall structuring and cash positions in Brazil
  • Analytical, financial control and some accounting skills, including knowledge of IFRS
  • Ability to manage multiple/conflicting priorities with a strong track record of delivery
  • Excellent inter personal skills, and ability to establish first class relationships across all aspects of the business
  • Ability to coach, challenge, and influence effectively interfacing with staff from all disciplines
  • Good business judgment in handling potentially sensitive financial and people issues
  • Fluent Portuguese and English
  • Degree or qualification in accounting (i.e. ACA, CPA or equivalent)
  • Experience working in a similar multinational environment with exposure to Oil & Gas or Mining
93

Treasury Manager Resume Examples & Samples

  • Strengthen bank relationships and act as main contact
  • Identify & optimize banking systems as offered by banking partners
  • Monitor opening/closure of bank accounts, incl. maintenance of records on bank signatory lists
  • Arrange fund requests from HQ for L/C and open account settlements
  • Monitor bank balances and prepare cash balance & movement reports
  • Devise and implement hedging strategies
  • Monitor and report currency exposure results, currency risk forecast and cash flow/position to senior management and HQ
  • Manage all insurance related issues for the subsidiary
  • Ensure optimized performance of activities according to policies
  • Responsible for Treasury dept. and all cost center budgets
94

Senior Treasury Manager Resume Examples & Samples

  • Support business growth by providing proper funding and operation structure and platform
  • Lead / support treasury management systems (TMS)
  • Communicate with business partners include SSC, BU finance to ensure compliance of corporate policy and ensure processes are followed
  • Manage bank relationships to meet required service levels
  • Support M& A activities from treasury aspects
  • Manage and coach the team to achieve the operational and performance targets
  • Manage financial risks including reporting and trading in accordance with corporate guidelines
  • Manage cash management include global and in-country cash pools
  • Solid track record in treasury profession
  • Master degree holders or above in Accounting / Finance or similar academic discipline
  • Good knowledge is corporate finance and financial risks
  • Good knowledge in treasury management systems
  • Be able to manage travel within both in and outside of China
  • Experience of regional / global treasury is a plus
95

Treasury Manager Resume Examples & Samples

  • Minimum 3 years experience in Treasury, Finance, Tax or Accounting
  • Language skills: English, Spanish and Portuguese
  • Commercial credit and collection experience
  • Treasury cash management experience
  • Relevant LACAN Treasury experience highly desirable
  • Solid foundation in financial analysis principles
  • Detail oriented and ability to manage multiple time-sensitive priorities
  • SAP proficiency
  • Familiarity with cash / banking systems preferred
  • Demonstrated ability to concisely express concepts and processes in oral / written communication
96

Group Treasury Manager Resume Examples & Samples

  • Support business with Treasury needs including with joint ventures and in emerging markets
  • Review cash management structures working with the operating teams to promote automation and efficient cash management. Drive account rationalisation
  • Partner with the business by assisting with the procurement of guarantee facilities involving negotiation of terms and the issuance of guarantees
  • Monthly reporting for FX cash flows, guarantees issued and other Treasury matters
  • Support the implementation of the TMS cash management project and the transition from excel based to system generated reporting
  • Completing compliance related requirements including banks KYC requirements and desk top procedures
  • Assist the Group Treasurer with any ad hoc analysis and any refinancing projects
  • Oversee Treasury Analyst daily cash management procedure and cover when required
  • To manage the Group’s NI hedging programme and ensure appropriate counterparties are continually available to support any hedging activity (currently through equity swaps)
  • AMCT Qualified or studying
  • Corporate Treasury experience required
  • Use of FIS Integrity and electronic banking systems highly advantageous
  • Experience of cash management structures and FX management techniques
97

Senior Treasury Manager Resume Examples & Samples

  • Overall Cash Management and Liquidity management for China entities
  • Define & implement CN Treasury policies on CM, funding, banking, FX
  • Design and improve key treasury process incl. Cash forecast, Cash positioning
  • Support on China funding strategy
  • Lead Projects such as Cash Pool resturcture
  • As on-the-floor advisor to support new business
  • Represent Treasury to interface with internal & external partners/stakeholders and regulators
  • Manage team and define succession & development plan
  • 10+years’ general fin experiences with 5+ years’ Treasury experience in MNC with tracking records
  • Strong ability to drive change and make improvement
  • Ability to manage & motivate staff
  • Good communication among levels & functions
  • Negotiation and influencing skills; able to listen to and persuade others based on sound logic
  • Bachelor's Degree or above in accounting, finance or related
  • Goal driven, target orientated, able to step back and look at the bigger picture
  • Demonstrate a strong track record of project management
  • The person will also be able to manage ambiguity, and possess strategic view
  • Proven communication skills (written and verbal), Fluent English is required
98

Treasury Manager Resume Examples & Samples

  • Co-lead the development of the new liquidity FTP process that incorporates new liquidity regulations (i.e. Liquidity Coverage Ratios) for the wholesale businesses
  • Re-engineer existing reporting and reconciliation process and support the finance team with transfer pricing related commentaries
  • Develop as well as enhance the existing EUC's for the Wholesale bank FTP group
  • Participate in key wholesale business line reviews and provide feedbacks to potential implications to business liquidity transfer pricing and profitability concerns
  • Manage the Global Liquidity Management book; work closely with stakeholders (TDS, CMRM etc) to monitor and manage the various risk metrics (IR Delta, FX Notional etc) for the liq funding book
  • Support the wholesale liquidity risk balance sheet reconciliation process to ensure completeness and data integrity
  • Support the analysis team to intake new requirements from TD Securities business line reviews
  • Provide technical expertise in redesigning the wholesale bank FTP process
  • Act as a point of contact to TDS businesses for all FTP related matters
  • Participate in the user testing on strategic system implementation initiatives including daily wholesale platform and the H4 (Bank of Canada Collateral Reporting) infrastructure
  • Coordinate with other teams to support senior management's advocacy efforts on any proposed regulatory changes
  • Monitor and ensure that appropriate policies, procedures and accountabilities are documented and followed for internal and external audit purposes. Coordinate with other teams and business areas to assess how assumptions and methodologies will impact wholesale transfer pricing and liquidity book hedging
  • Support the FTP production team in building an efficient process to consolidate and analyze the wholesale bank's liquidity premium transfer pricing analysis and commentary
  • Provide required ad-hoc analysis to support initiatives required for the Global Liquidity Forum (GLF) Operating committee
99

Treasury Manager Resume Examples & Samples

  • Oversee the cash management of the company
  • Assist with Letters of Credit issuance as needed
  • Assist with credit facility compliance
  • Participate in international cash forecasting
  • Integrate acquired companies from a Treasury perspective
  • Contribute to the mitigation of foreign exchange exposure
  • Set-up new bank accounts and products
  • Research new initiatives and products in the Treasury field
  • Analyze and advise on inter-company payments
  • Contribute to Stantec’s fraud management efforts; and
  • Assist the Director, Treasury with ad-hoc projects
  • Post-secondary degree in economics or another business-related field
  • A minimum 8 years of experience in corporate treasury or banking
  • CTP certification
  • Strong knowledge of Canadian and US banking systems
  • Familiarity with various global banking practices
  • Extremely strong interpersonal skills with all levels of staff
  • Solid management and leadership skills
  • Familiarity with various on-line banking platforms
  • A second language would be considered a strong asset; and
  • Knowledge of Oracle would be an asset
100

Treasury Manager Resume Examples & Samples

  • Manage Commercial Banking arrangements
  • Manage 30+ European entities in all aspects of Treasury including banking, controls, investments, funding and operations
  • Evaluate, recommend and implement investment options, and arrange investment reporting
  • European Group Cash Forecasting and Planning
  • Close work with business units and financial institutions to negotiate, arrange and issue bank guarantees and performance bonds, any necessary overdraft arranegments, customer L/Cs and necessary form processing
  • Perform SAP workflow approvals for Treasury-related business
  • Recommend, drive, implement and maintain changes to existing processes and policies (including Cash Management/Investment, FX/Hedging, Signature Authority and Credit Instruments)
  • 40% travel required (throughout EMEA and U.S.)
  • Degree(s) in Finance, Economics, Accounting and/or other business-related discipline. MBA, CTP and/or CFA or equivalent desired
  • Minimum 15 years' professional treasury experience with a minimum of four years in a position of authority in a Treasury group
  • 3 years' treasury operations experience including inter-company funding arrangements and cash flow forecasting
  • Foreign exchange experience required
  • Publicly traded corporate experience preferred
  • Fluency in English (both written and spoken) with excellent verbal and written communication skills, and presentation skills
  • Ability to communicate in major European language(s) a plus
  • Strong problem solving, critical thinking and analytical skills
  • Hands on and attention to detail
  • Able to troubleshoot and efficiently resolve operational issues
101

Treasury Manager Resume Examples & Samples

  • Monitor month-end checklist for team, daily bank account balances for all accounts and notify senior management of problems in advance
  • Recommend and implement new banking products, services and cost saving initiatives
  • Continuously review and improve Treasury policies and procedures within the group
  • Release daily wires, ACH transfers, and bank transfers from multiple accounts as needed
  • Establish and maintain multiple accounts across a broad spectrum of banks as needed for individual assets
  • Establish and maintain multiple Credit Card Merchant Accounts for each asset. Work with background processors, banks, credit card companies, property management / point of sales systems to install or change merchant numbers as needed
  • Assist hotels and staff with ad-hoc projects as needed
  • Bachelor’s Degree preferably in business related field
  • Minimum of 5 years’ corporate treasury experience
  • Experience in multi-unit real estate/hospitality accounting environment a plus
  • Strong knowledge of cash management principles, as well as bank products and services
  • Ability to work in a fast, dynamic environment, and prioritize competing priorities
102

Senior Treasury Manager Resume Examples & Samples

  • 10+ years of relevant experience and a BA or BS in Finance or Accounting
  • MBA / CFA / CTP preferred
  • Prior supervisory experience is preferred
  • Responsible for building and managing routine treasury operations in Asia Pacific region
  • Participates in strategic financial planning and discussions
  • 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
  • Ensures that all monthly and quarterly requirements are met timely and accurately
  • Consistently maintains proper internal controls and ensures compliance with the worldwide Controller’s manual, board approved policies and to all applicable laws and regulations
  • Requires a solid knowledge in banking and cash management in Asia (banking knowledge in China is a must)
  • Strong financial modeling and due diligence skills
  • Proficiency with Microsoft tools (Excel, Outlook, Word and PowerPoint) required
  • Excellent interpersonal, written, and verbal communications skills are required
  • Ability to excel in a fast paced, highly analytical environment where multi-tasking and short timelines are met with consistent ability to achieve financial accuracy
  • Knowledge of Oracle and Hyperion a plus
  • Knowledge of life science, healthcare, biotech industry a plus
  • Must be fluent in English, Mandarin (written and spoken)
103

Treasury Manager Resume Examples & Samples

  • Coordinating the document process for capital leases, including working with corporate legal and accounting departments as well as individual facilities. In addition, candidate will work directly with the numerous capital lease financers that provide financing for our lease programs
  • Generating short tem and long term cash forecasts for the company. Will work directly with numerous internal individuals to identify cash inflows/outflows in order to incorporate cash activity into cash flow forecast
  • Help manage cash by working directly with multiple banks in order to improve efficiencies
  • Will work directly with lending banks to ensure compliance related requirements are satisfied, including annual audits
  • Assist with special projects as requested by department management
  • Requires bachelor's degree in business administration or finance (or similar field)
  • Strong knowledge of cash management, cash forecasting and lease financing
  • 5 yrs. relevant experience
104

Senior Treasury Manager 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 that present risks and mitigation plans or alternatives in a clear manner
  • Serve as backup for Treasury FX and investment trading operations
  • BA/BS degree in applicable field
  • Knowledge of institutional banking and payment systems
  • Familiarity with foreign exchange trading operations
  • Basic knowledge of foreign exchange and interest rate derivatives and hedging strategies
  • 7 years of Treasury or applicable experience
  • Ability to work independently to drive implementation of small and large-scale process improvements
  • 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
  • Working knowledge of Bloomberg
  • Cognos
105

Treasury Manager Resume Examples & Samples

  • Degree in Accounting or Finance or other business related degree
  • Minimum of 3 years post qualification experience in finance with proven integrity
  • Strong analytical and financial modelling skills
  • Ability to provide business insights based on knowledge of the business and the external environment
  • Proven ability to facilitate, persuade, influence and build credibility with all levels and all functions
106

Treasury Manager Resume Examples & Samples

  • Harmonize country treasury function by on-going review of treasury activities and manage financial risks, forex transactions and hedging
  • Formulate risk management policy to protect adverse impact on the company's results
  • Communicate and implement cost-effective methods
  • Assist in the formulation of financial strategies to represent the company in financial community
  • Carry out day to day cash management and banking operation
  • Coordinate with banks and group treasury on credit line management
  • Ensure business partners are provided the service levels, as agreed
  • Participate in special projects to support general accounting department
107

Treasury Manager Resume Examples & Samples

  • 4-7 years of experience in a top corporate global treasury organization
  • Bachelor’s degree in Business, Finance or Accounting
  • CTP, CFA, or MBA is a plus
  • Experience in a high-growth start-up or large multi-national preferred
  • Great communication skills, well organized, strong project management skills, ability to multitask and be a team player is a must
  • Enthusiasm about Uber!
108

Treasury Manager Resume Examples & Samples

  • Consolidate all treasury related controls functions embedded in the payments operation into the treasury department (account reconciliation, Account opening, analysis statement monitoring, reconciliations, etc.)
  • Domain expertise in payments and accounting for payments transactions are a requirement
  • Specify level of education: BS/BA in accounting
109

Treasury Manager Resume Examples & Samples

  • Lead regular internal credit committees to analyze the performance of the regional subsidiaries and implement efficient financing
  • Continuous follow up of the financial situation of subsidiaries
  • Fulfilment of budgets and updated forecasts
  • Cash kept locally and cash up streamed to corporate
  • Inter-company current accounts and loans and external financing
  • Promote/review initiatives to optimize working capital and capex financing. Operational follow up of securitization programs in place
  • Develop and maintain close relationships with banks. Support regional teams/lead negotiations for key transactions
  • Provide financial advisory and support to regional teams and to other corporate functions
  • Supervise the compliance of regional subsidiaries with Group Treasury Policy and top management instructions. Facilitate the necessary approvals of transactions from Group top management whenever so required
  • At least 5 years experience in finance (mostly treasury with good understanding of controlling, accounting and tax)
  • Solid understanding of banking activities and tools worldwide
  • Experience in project financing
  • Excellent communication and negotiation skills since establishing strong networks subsidiaries, regional management, other corporate functions and financial institutions is key
  • Good knowledge of accounting and controlling principles and of the internal tools (treasury and accounting)
  • High level of written and verbal communication in English, fluent Spanish and French highly recommended
  • Ability to manage several projects, to meet deadlines and to manage competing priorities
110

Treasury Manager Resume Examples & Samples

  • Build capabilities across NIKE’s treasury centers to support our rapidly growing and constantly evolving business
  • Develop contingency plans for negative macroeconomic or political events
  • Develop strategies to enhance cash management, forecasting and reporting capabilities
  • Support over 50 operating entities in all aspects of Treasury including banking, controls, funding, investments and operations
  • Serve as a consultant to the business, actively participating in cross-functional meetings, and providing Treasury guidance or direction when needed
  • Manage concurrent regional and global projects
  • Manage one or more direct reports
  • Manage counterparty exposures
  • Ensure all entities are compliant with policies and controls
  • Quickly troubleshoot and resolve operational issues
  • Bachelor’s or Master’s degree in Finance, Accounting, Economics or other business related field; MBA degree strongly preferred
  • Over 5 years of recent experience working in the Global or Regional Treasury center of a publicly traded multinational company with direct experience in
111

Qr-treasury Manager Resume Examples & Samples

  • Expert - Minimum 7 years of progressive responsibility within large corporate finance/treasury department or a financial institution either in Treasury or Investment Banking
  • Solid understanding of cash management principles and practices, as well as computer applications related to Treasury services
  • Experience in cash management and cash pooling
  • Experience in managing bank guarantee, short-term loan and fixed deposit portfolios
  • Knowledge of banking and financial instruments
  • Experience in managing staff and interfacing with senior management across functional lines is mandatory
  • Strong analytical, problem solving, negotiating, facilitating, decision-making and organizational skills
  • Excellent oral and written communication skills. Fluency in English (both written and spoken) is mandatory
  • Proactive self-starter with ability to work in a fast-paced environment with changing priorities
112

International Treasury Manager Resume Examples & Samples

  • Partner with local country controllers on cash flow forecast to ensure that each country/entity has adequate liquidity for working capital needs
  • Work with multiple corporate teams and country controllers on intercompany transactions and financing activities, such as dividend payment, intercompany loans, etc
  • Manage monthly Netting process to ensure that CDK’s international entities settle their intercompany balances on a timely manner
  • Provide bank account support and management
  • Assist with maintaining banking relationships with CDK’s banking partners
  • Assist with foreign exchange risk management and foreign exchange transactions
  • Update and maintain CDK’s international treasury policy
  • Provide support for ad-hoc requests
  • University degree in either Finance, Accounting, Economics or related business fields
  • 5+ years of relevant experience in Finance, Accounting or related areas
  • Strong organizational and project management skills; ability to prioritize and meet deadlines
  • Ability to work with multiple teams in different time zones
  • Technical / Professional qualification
113

Senior Treasury Manager Resume Examples & Samples

  • Provide team leadership independently soliciting/developing new account relationships through an aggressive calling program; build and manage a portfolio of corporate/municipal clients in the capacity of relationship manager
  • Sell treasury management products and services to established corporate customers and prospects through an aggressive joint sales calling program with the commercial lending staff
  • Responsible for Divisional sales goals to budget for deposits, business service charges, and other fee income line items as specified (both their own individual goals as well as those of their employees/team)
  • Maintain effective cross-selling activities
  • Develop and maintain referral networks with appropriate industry contacts and centers of influence
  • Supervise assigned Treasury Management sales staff ensuring they are trained, motivated and supported properly to achieve sales goals
  • Actively participate in all sales planning processes. Coordinate planning for assigned sales team
  • Maintain an in-depth working knowledge of all treasury management products and services, and present client demonstrations as necessary
  • Remain informed about current developments in the treasury management marketplace, using the knowledge base as an internal “change agent” advocating continuous innovation in the development of FMB products/services
  • Provide team members with functional leadership and guidance
  • Participate in all required training sessions for compliance
  • Implement bank-directed policy and changes related to regulatory amendments
  • Prepare monthly sales and production reports
  • Attend sales meetings and participate accordingly
  • Involvement in various community activities and/or trade associations and other organizations to enhance the recognition of the FMB brand
  • Should maintain a minimum of two leadership or “high visibility” roles outside the company
  • Bachelor’s degree in a business related major with at least 2 accounting courses preferred
  • 7 – 10 years treasury management experience
  • Minimum 6 years sales experience
  • Certified Treasury Professional (CTP)
  • Strong sales aptitude/skills
  • Strong analytical ability with effective written and verbal communication skills
  • Strong PC skills (Word, Excel, Access, etc.)
  • Position may require the need to travel to other branch or meeting locations
114

Treasury Manager Resume Examples & Samples

  • Minimum of 6 years of experience with global (U.S. and international) cash management and corporate treasury operations
  • Bachelor’s degree in Accounting, Finance or other business-related field
  • Advanced degree and/or CTP, CMA or CPA credential a plus
  • Sound knowledge of cash management and treasury operating principles and standards
  • Prior experience with foreign exchange, cash flow hedging, and mark-to-market and fair value revaluation
  • Prior experience with Wall Street Systems treasury management system
  • Good understanding of accounting and tax principles
  • Professional presence, tact and strong oral and written communication skills
  • Excellent interpersonal skills and ability to interact with all levels of personnel
  • Excellent Microsoft Excel skills
115

Treasury Manager Resume Examples & Samples

  • 2) Preparation and co-ordination of Treasury related Policies and documents including but not limited to Legal Entity Liquidity Policies (including Contingency Funding Plan), Intraday Liquidity Policies, Guidelines for Investment in Securities, EMEA ALCO Terms of Reference, etc
  • 3) Preparation and coordination of liquidity self-assessment documents (ILAA, ILAAP, Balance Sheet review etc.) across the EMEA region (UK Bank, UK Broker Dealer, London Branch etc.)
  • 4) Preparation and co-ordination of liquidity stress testing for banking subsidiaries and broker dealer in the region in line with local regulatory requirements. This includes compiling various stress scenarios based on any regulatory or market guidance, agreeing stress test assumptions and behavior adjustments, model scenarios, analyse and document results and determine sufficiency or otherwise propose recommendations for compliance, present results to the Stress Test Oversight Committee, EMEA ALCO and Legal Entity management committees (Operating Committee, Executive Committee etc.)
  • 5) Coordinating live Crisis Plan simulation for a legal entity in the region. Setting up scenarios, testing plan, simulation logistics, documenting the test results and follow-up on action items
  • 6) Assisting with the set-up of the liquidity recovery planning framework for legal entities in the region including compilation of liquidity recovery option templates and liquidity stress testing for recovery plan purposes
  • 7) Implementation of Intraday liquidity management framework across legal entities in the region including review of upcoming intraday liquidity regulations, regular enhancements to intraday liquidity policies, discussing and coordinating requirements for ILABs, intraday liquidity stress testing etc. with US intraday liquidity team
  • 8) Leading the EMEA Treasury Standard Steering Group (TSSG) meetings to support the process across the legal entities in EMEA to meet prudential regulatory requirements as they pertain to liquidity and interest rate risk. Continuous enhancements to liquidity risk management framework to ensure liquidity policies, ILAAPs/ ILAAs, liquidity stress testing are fit for purpose and in line with latest regulatory requirements
  • 9) Supporting the International Treasurer and Head of Balance Sheet Management with ad hoc projects / deliverable relating to International Treasury e.g. regulatory presentations, strategic initiatives, Board trainings, set-up of IRRBB framework for legal entities etc
  • 10) Providing support and review of daily liquidity metrics across EMEA legal entities including Early Warning Indicators, LCRs, Internal Liquidity Ratios etc
  • Contribute to the effective governance of the EMEA region. Play an active role in local or regional committees, helping to support the Committee/Board fulfill its role and responsibilities
  • Help to ensure that a strong governance culture is embedded within the region, that issues are escalated and cascaded appropriately and that key risks are identified, discussed and mitigated
  • Build a good understanding of the EMEA governance framework, including escalation requirements
  • Comply with all BNY Mellon corporate policies and procedures, including HR policies and procedures, applicable to BNY Mellon
  • Alert management including the Chief Risk Officer and / or the EMEA Chief Risk Officer immediately of any significant changes to business risks and internal control effectiveness
  • 3 - 5 years banking experience in a Treasury function or in a Finance/Risk function relevant to Treasury
  • Awareness of EU (including UK) banking regulations with respect to capital, liquidity and interest rate risk
  • Good project management and report writing skills
  • Building Organisational Talent - Attracting, developing and retaining talented individuals. Providing timely coaching, guidance and feedback to help others maximize their potential and meet key accountabilities. Using appropriate methods and interpersonal styles to develop, motivate and guide a team toward successful outcomes and attainment of business objectives
  • Change Leadership - Continuously seeking (or encouraging others to seek) opportunities for different and innovative approaches to addressing organizational problems and opportunities
  • Client Orientation - Cultivating strategic client relationships and ensuring that the client perspective is the driving force behind all value-added business activities
  • Driving Execution - Translating strategy into operational reality. Breaking down strategic priorities or business initiatives into key tasks and identifying accountabilities. Aligning communication, people, culture, processes, resources and systems to ensure effective implementation and delivery of required results
116

Treasury Manager Resume Examples & Samples

  • Bachelor's degree in finance, accounting, business administration, or related field required. Master's degree in finance or business administration (MBA) preferred
  • 7-10 years Treasury and Cash Management or related experience, preferably in a global organization
  • Minimum of 3-5 years’ previous lead or management experience
  • Certified Treasury Professional (CTP) preferred
  • Demonstrated experience developing detail cash flow forecasts to manage liquidity position of company
  • Proven experience performing analysis, trends, and variance reports, researching unusual treasury activity and providing explanation
  • Strong written/ verbal communication skills; strong composition skills demonstrated through practical experience
  • Solid interpersonal skills with the ability to effectively and proactively communicate with individuals at all levels of the organization
  • Collaborative style; ability to develop and maintain effective working relationships both internal and external to the organization
  • High degree of professionalism; mature demeanor; able to work on assignments of a confidential nature
  • Solid analytical skills; strong decision making capabilities coupled with the ability to analyze situations and provide recommendations. Sound judgment with the ability to learn, recognize and support the organization’s preferences and priorities
  • Strong technical aptitude. Advanced knowledge and experience with Treasury Workstations, Oracle, Discoverer, Crystal and Essbase and Microsoft Office preferred. MS Office to include MS Word, Excel, PowerPoint, Visio and Project
  • Ability and willingness to travel as needed; estimate up to 10%
117

Treasury Manager Resume Examples & Samples

  • Take ownership of preparing cash flow budget, trends and actual reporting
  • Support CFO and FX Controller to draw up FX forecasts
  • Maintain strong relationship with banks and monitor bank activities based on company norms, procedures and tools
  • Maximize the use of financial systems to draw up cash flow analysis
  • Forecast cash flow positions and ensure sufficient funds are available to meet ongoing operational needs
  • Develop information network with departments that impacts the cash situation and enabling anticipation of cash in & out flows
  • Monitor bank balances and organize reconciliation on daily basis, perform daily zeroing of current bank account balances
  • Ensure accurate and on-time posting of all cash application, payable and bank related transactions
  • Ensure compliance with the Financial Charter within the entity's departments and evaluate payment security process
  • Identify risk in operation and take proactive action to fix the gap in a strategic direction
  • Minimum 5 years of relevant experience in Treasury, Finance & Accounting
  • Strong understanding of bank operations, cash flow and FX management within a multi-national corporation
  • Responsible, organized and self-motivated
  • Big 4 Managers who are passionate to develop a career in treasury are welcome
118

Global Treasury Manager Resume Examples & Samples

  • 5-7 years in international treasury including cash management, FX and bank relations
  • Large multi-national corporation experience
  • Treasury systems including treasury workstation, derivative execution platforms, and hedge accounting platforms experience
  • Bachelors degree in finance, economics or related field
  • CTP and/or CFA preferred
  • Excellent communication, organization and self-management skills
  • Ability to excel in high pressure environment with sensitive deadlines
  • Self starter with ability to work autonomously
  • Excellent project management and partnering skill
  • Ability to develop and sustain relationships internally with business units
119

Treasury Manager Resume Examples & Samples

  • B.A. required; MBA or MA in a related field preferred
  • Critical thinking, excellent analytical and problem solving skills
  • The ability to work in a fast paced environment
  • A keen interest in global financial markets
  • Proven quick learner
  • Must demonstrate overall business acumen and understanding of international treasury operations
  • Proficiency with MS office (word, spreadsheet and presentation) required
120

Treasury Manager Resume Examples & Samples

  • Bachelor's degree in Accounting or Finance field required
  • Certified Treasury Professional (CTP) or equivalent
  • Minimum of 5 years of experience in Global Treasury Operations with a minimum of 3 years of international banking and transaction management experience including opening international bank accounts and international cash management principles
  • Working knowledge of treasury management systems and automation processes related to cash and working capital management
  • Detail-oriented, with demonstrated proficiency in handling multiple concurrent initiatives
  • 3 - 5 years supervisory experience
121

Senior Treasury Manager Resume Examples & Samples

  • Lead the cash forecast process and master a detailed understanding of our global cash needs
  • Provide oversight for all cash management activities, including effective utilization of cash resources, monitor cash balances and allocations to optimize cash utilization globally
  • Establish and monitor FX policies
  • Manage settlement of inter-company accounts and inter-company funding activities
  • Design and maintain banking infrastructure, including opening and closing accounts, updating signatories and responding to bank compliance requests
  • Develop and maintain treasury policies and procedures, and related internal controls
  • Provide review and recommendations on current treasury processes and technologies that facilitate operational efficiencies
  • Develop and manage Treasury reporting, handling external audit requests, as well as managing special Treasury projects
122

Treasury Manager Resume Examples & Samples

  • Perform the Collection activity to improve the CCC cycle
  • Prepare credit and collection reports. Monthly/Quarterly reporting to upper management on cash forecasting, problem receivables, Month-end, AR Turn / DSO, reserves and ad-hoc reporting
  • Assist the credit department in enhancing the credit assessment process
  • To assist the Credit Analyst to obtain customer information, Financials, etc. to reduce the credit risk while offering internal credit lines
  • Interface with all levels of management within the operations team on orders, backlog and cash flow analysis
  • Supervise the Brasil Credit & Collection activity
123

Treasury Manager Resume Examples & Samples

  • Management of all payments using Automated Clearing House (ACH) and wire in various currencies; initiating, monitoring, and settling Foreign Exchange trades. Ensuring sufficient funding for payments
  • Management of the Foreign Exchange hedging program and minimizing foreign exchange impacts to earnings
  • Partner with the Assistant Treasurer in managing and maintaining company’s banking infrastructure, including bank and brokerage relationships
  • Managing short term borrowings to ensure minimal interest costs
  • Overseeing credit risk assessments and insurance renewal programs
  • Preparation of monthly, quarterly and annual reports as required
  • Reviews compliance with loan financial covenants
  • Reconciles all cash and investments accounts and reviews treasury journal entries
  • Recommends and implements improvements to current cash management processes and assists with Treasury projects
  • Minimal travel may be required to meet the needs of the business (estimated 5%)
  • A minimum of a Bachelor Degree in Finance, Accounting or related field is required for this role
  • Experience of 6 years is required for this position, assuming education requirements are met. Equivalent industry experience of 1 or more years is highly desirable
  • CPA, CFA or CTP preferred
  • Ability to analyze and solve problems with strong critical thinking skills
  • Knowledge of management principles and practices
  • Subject matter expert in Treasury principles
  • Excellent computer skills. SharePoint experience is desirable for the role
  • Demonstrated leadership skills with the ability to communicate the organization’s vision and strategy to internal and external constituencies
  • Ability to negotiate in a firm, effective, well-reasoned and civil manner, which produces good terms and good relationships for Plexus
  • Ability to comprehend and assist in the drafting of complex written materials, such as loan documents, purchase agreements, etc
  • Strong abstract reasoning and analytical skills, plus excellent organization skills
  • Ability to complete a high volume of work, in a timely manner, while maintaining a high level of accuracy
124

Treasury Manager Resume Examples & Samples

  • Responsible for cash and revenue
  • Recording to the GL and reconciliations
  • Ensuring credit card payments are received, recorded and reconciled
  • Monitoring and negotiating credit card merchant services
  • Accounts Receivable reconciliations and working the schedules
  • Ensuring chargebacks are processed timely
  • Communicating with field for improvements
  • Management of a team of individuals
  • Importing and exporting data from POS system and operating system
125

Treasury Manager Resume Examples & Samples

  • Global cash and liquidity management
  • Corporate and intercompany debt management
  • Risk management (primarily foreign exchange and interest rate risks)
  • Investment management and reporting
  • Sarbanes Oxley and process controls
  • Capital structure and capital allocation strategy
  • Candidates should have broad experience within a large multinational corporation, particularly in areas pertaining to international treasury and finance such as multi-currency cash management & pooling, foreign exchange risk management, investment management, cash forecasting, intercompany loan administration, M&A integration, utilization of treasury management systems and accounting
  • Support Assistant Treasurer - Americas in driving AECOM’s businesses to achieve plan operating cash flows to support the Company’s capital allocation priorities
  • Manage day-to-day transactional needs of operations, including transfer of funds, issuance of letters of credit and bank guarantees and execution of FX hedges
  • Manage domestic and foreign cash and bank account structure, leading consolidation and cash pooling efforts to improve liquidity and lower transaction fees
  • Monitor and remediate bank accounts to ensure proper controls in line with corporate policy
  • Drive process improvement between Treasury and operations to enhance cash management capabilities, improve risk profile and lower costs (e.g., vendor migration to EFT)
  • Assist with AECOM M&A efforts, including the evaluation and integration of acquired businesses into AECOM Treasury structure, policies and controls
  • Ensure compliance to both SOX and corporate finance per external review and internal policy
  • Targeting 50% of Treasury Manager’s time on projects related to the above and other team priorities
  • Strong Treasury management and operations knowledge
  • Self-starter with strong leadership and analytical abilities
  • Excellent financial modeling skills essential
  • Strong communications skills (both interpersonal and written)
  • Ability to operate and thrive in fast-paced and dynamic environment
  • Bachelors degree or equivalent – preferably in finance, tax or accounting
  • Minimum 6 years of relevant work experience with 2 or more years spent in a large, global services company
  • Certified Treasury Professional (CTP) designation preferred
126

Treasury Manager Resume Examples & Samples

  • You should have a Bachelor's degree in finance or accounting with 8 years of treasury experience gained in commercial companies
  • You will need an excellent understanding of cash and liquidity management, corporate financial management, risk management, treasury operations and controls
  • You should have good exposure to various bank account management and international funds flows
  • You should be able to keep up to date with financial and industry developments
127

Treasury Manager Resume Examples & Samples

  • KEY ACCOUNTABILITIES
  • Governs liquidity management for SunOpta North America
  • Develops and implements cash management operational strategies
  • Oversees daily management of cash, debt, letters of credit and performance bonds and management of cash flow forecasting
  • Develops and oversees preparation of treasury reports for senior management
  • Develops audit schedules related to interest, debt, foreign exchange and cash availability
  • Interact with Corporate accounting for bank reconciliations
  • Prepares monthly borrowing base calculation for the SunOpta Group as required by the ABL Agreement
  • Manages the administration function of the online banking platform for the SunOpta North American Group
  • Manages the administration of the operating lease program for SunOpta North America
  • Maintain relationships with commercial banks and capital finance companies
  • Manage North American tax payments
  • Manages treasury audit by external and internal auditors
  • DECISION MAKING AUTHORITY
  • PURPOSE OF POSITION
128

Treasury Manager Resume Examples & Samples

  • Monitor foreign currency exposure and make recommendations to the Treasurer
  • Maintain Debt Credit Facility including borrowing notifications, letters of credit, interest rate swamp administration, and associated journal entries
  • Centrally manage the daily cash position of the global organization and ensure adequate funding of global subsidiaries by maintaining cash flow forecasts
  • Primary day-to-day contact with financial institutions for daily problem resolution, opening and maintaining bank accounts
  • Work closely with the Corporate Accounting, Tax, and Payroll department
  • Assist Treasurer with preparation of the Quarterly Compliance Certificate
  • Develop and maintain SOX documentation for Treasury Department
129

VP, Treasury Manager Resume Examples & Samples

  • Assist Treasurer in budgeting, investment, assets and liability management
  • Act as backup in overseeing the Treasury Department in the absence of the Treasurer to ensure there is no activity that would expose the Bank to risk
  • Engage with regulators and internal/external business partners to understand the impact of regulatory changes, such as the Dodd-Frank Act for the Treasury/Foreign Exchange Department, and implement these changes to the department’s business operation
  • Engage with internal/external auditors and the Bank’s examiners, answer questions throughout the process of examination, and carry out remedial action when necessary
  • Oversee the revision of department policies and procedures, Master FX Agreement, risk disclosure, product disclosures, and other documents
  • Collaborate with attorneys to review and negotiate financial agreements for the Bank, such as, ISDA, MFSTA, Master Repo Agreement and various account agreements
  • Establish and maintain business relationships with correspondent banks and counterparties
  • Bachelor’s degree in related field
  • 5-10 years of experience in Treasury Department of a financial institution, with at least 3 years of supervisory experience
  • Strong leadership skills. Good analytical and organizational skills
  • Intimate knowledge of all aspects of treasury risk management
  • Ability to work with all levels of staff including senior management
  • PC proficient. Bilingual Chinese preferred
130

Treasury Manager Resume Examples & Samples

  • The Treasury manager will be responsible for the cultivation of direct relationships with our securitization program investors, preparing business presentations and responding to their inquiries regarding programs
  • Exhibit exceptional asset class expertise and in-depth financial product knowledge
  • Work in an integrated partnership with corporate investor relations, marketing, business operations, finance operations, legal and compliance teams
  • Assist strategic planning and securitization program development initiatives, perform research and modeling as needed
  • Attend industry conferences and participate in targeting of potential investors
  • Five to ten years of quantitative or financial analysis experience
  • Effective team player, able to work with people of all levels
  • High level of self-initiative, with strong integrity and ethics
  • Organized, detail oriented, with strong time management skills
  • Capital market experience preferred
  • MBA/CFA/CPA strongly desired
131

Treasury Manager Resume Examples & Samples

  • Role will be on point for partnering with Corporate Development, Tax, Venture Integration and Business Groups on deal planning; cash flow funding strategy, foreign exchange, intercompany planning, and wire execution. Ensure that deal wires are executed and intercompany movements are executed flawlessly
  • Lead the integration and management of acquired and/or regional Microsoft subsidiaries. This role will be on point for understanding the business trends, assisting with the go to market strategy, driving Treasury systems integration, intercompany cash flows, intercompany loans, and ensuring adequate liquidity for working capital needs
  • Responsible for forecasting income volatility and FX impacts for cash management & VI activities
  • Design and consult with MSFT global entities and business units in the strategic design and maintenance of efficient bank account structures, use of bank products, cash management operations that provide value-add to the enterprise
  • Develops cash concentration, repatriation and pooling structures that are compliance with US Tax, international statutory, and central bank requirements
  • Lead internal and cross organizational Treasury projects
  • Support the Global Cash Management team to manage the wind down of subsidiaries
  • Lead the systems development planning and the reporting automation leveraging PowerBI and other Microsoft tools
  • Improve procedures related to Treasury aspects of M&A integration and cash management practices
  • BA/BS degree in Finance, Accounting or Business
  • Minimum 7 years’ experience in Corporate Treasury with focus on Cash Management and/or mergers/acquisitions
  • Experience with corporate cash management, foreign exchange, and/or banking
  • Must possess a thorough knowledge of cash management, foreign exchange, and banking
  • Candidates must be able to incorporate input from Tax, Legal and global business units into a cohesive business plan from a Treasury perspective
  • Strong presentation and communication skills are required
  • Strong problem solving, analytical and project management skills are required (as this position will have responsibility for complex projects where the ability to influence others will be essential)
132

Treasury Manager Brazil & Latam Resume Examples & Samples

  • Brazil day-to-day liquidity, funding, and risk management activities in close collaboration with Group Treasury
  • Treasury activities for Platform 17 (SAP implementation in Brazil)
  • Dealing activities for the whole region LATAM incl. co-ownership of the dealing structure for Nutrade
  • Regional support for LAN and LAS territories in cash- and risk-related matters
  • Brazil business support and projects
  • Relationships based in São Paulo to (non-)core banks and other financial services firms as well as rating agencies in the context of global relationships
  • Best practice establishment and sharing across the region around cash management, risk management, and funding activities
  • Treasury governance & regulation compliance throughout the region
  • Finance 2020: Treasury organizational design and role within One Finance
  • ChemChina anticipation/reaction activities
  • Quantum (Treasury Management System) implementation for LATAM
  • Excellent language skills (English + Portuguese, Spanish a plus)
  • Interpersonal relationship
  • Deep understanding of financial markets, instruments, and regulatory environment, with a focus on Brazil and LATAM
  • Deep understanding of Syngenta business, Finance TOM, and LATAM setup
  • Treasury expertise: liquidity and risk management, funding, information systems, controlling
  • Experience with the setup of and relationships with external counterparties, particularly banks
  • 4+ years experience in Treasury or in Finance with a Treasury link
  • International experience Team lead experience
133

Treasury Manager Resume Examples & Samples

  • Analyze innovative structured finance solutions like securitization, factoring and similar structures leading to working capital improvement
  • Develop strategic financing solutions to support the company’s financial goals
  • Lead negotiations to develop price, terms and conditions of asset backed security transactions with investment banks. Support legal with financial contract drafting
  • Prepare presentations and decision templates for C-level and bank meetings
  • Analyze financial implications and define strategies and impacts
  • Identify and drive improvements in project efficiencies
  • Develop cross-functional collaboration with internal resources including FP&A, Accounting, Marketing, Tax and Legal in order to support existing deals
  • Develop partnerships and foster relationships with banks and other stakeholders
  • Monitor and ensure compliance with bond indentures, loan agreements and credit facility documents in a highly regulated market
134

Treasury Manager Resume Examples & Samples

  • Bachelor’s degree in Finance, Accounting, or related field. Master’s degree and CTP Certification preferred
  • 5+ years of cash management experience, international cash management, and knowledge of derivative
  • Highly proficient in Excel and other Microsoft Office tools
  • Understanding of debt agreements and related covenant testing is a plus
135

Treasury Manager Resume Examples & Samples

  • Oversee daily liquidity and cash management activities for all of Juniper’s global operations
  • Manage Treasury Operations team (1 in Sunnyvale; 3 in Bangalore) responsible for day to day operational support
  • Bachelor’s degree in Accounting, Finance or Economics. MBA and CTP preferred
  • 8+ years of experience in corporate finance setting or the banking industry, preferably for a Fortune 500 company
  • Understanding of global banking, capital markets, and corporate finance principles
  • Strong analytical, quantitative, and problem-solving skills
  • Ability to provide sound financial and business judgment as well as strategic thinking across the organization
  • Highly effective in setting priorities with strong organization and time management skills
  • Excellent interpersonal skills with the ability to communicate effectively with all levels of internal and external audiences, both verbally and in writing
  • A leader who demonstrates commitment to Juniper’s core values
136

Treasury Manager Resume Examples & Samples

  • Oversees activities of the Treasury and Vehicle Inventory teams (approximately 15 FTEs); manages, trains, and coaches individuals by providing constructive feedback for employee development
  • Develop performance benchmarks for individuals and key processes to bring accountability to results
  • Maintains cash forecast to ensure company’s cash needs are met; initiates draws and repayments of the Company’s credit facility
  • Lead the budgeting, reporting, and analysis of bank fees, credit card transactions and interest expense
  • Oversees outgoing wire, ACH, and check payments for various types of transactions on a daily basis
  • Monitors positive pay for check and ACH transactions and ensures appropriate verification is completed in order to detect and prevent fraudulent payments
  • Reviews journal entries for various cash transactions to ensure accuracy and completeness
  • Oversees and approves bank reconciliations for various cash and floorplan debt accounts for accuracy and for large or unusual reconciling items
  • Review various debt agreements to ensure compliance and reporting requirements
  • Provides support and planning for acquisitions by reviewing information related to cash and debts, including new bank accounts and communication to appropriate personnel; ensuring all treasury issues are identified prior to completion of the transaction
  • Provides oversight and evaluation of company banking needs including the administration of electronic banking user access and authorized signor changes, and the periodic review of accounts and related statuses in order to optimize fees and efficiencies
  • Performs month-end procedures including fluctuation analysis of cash related general ledger accounts, interest, and related entries
  • Maintains communication with Corporate Accounting and Finance teams in order to facilitate and ensure the company’s timely and effective month-end close
  • Meet and exceed individual objectives as defined by supervisor
  • Adhere to schedules and deadlines
  • Thoroughness, accuracy, and timeliness in completing essential duties
  • Strong attention to detail and sense of urgency
  • Time Management – ability to prioritize workload and manage one’s own time
  • BA/BS in Accounting, Finance or Economics
  • CTP or CPA or candidate eligible for the exam desired
  • 2-4 years of previous experience in a supervisory role
  • Working Conditions: Indoor office environment, considerable use of telephone, computer and other office equipment
137

Group Treasury Manager Resume Examples & Samples

  • Technical understanding of financial markets, derivative instrument mechanics and valuations
  • Thorough knowledge of Treasury systems and control frameworks
  • Professional Qualification in Treasury (AMCT or MCT)
  • Experience in transacting treasury deals
  • Ability to influence senior stakeholders and work constructively with colleagues across the business at all levels
  • Experience working within a corporate or financial services treasury function in a market facing role
  • Hedge accounting solutions and processes
  • Managing transactional foreign exchange risk
  • Implementation / improvement of Treasury Management Systems
138

Treasury Manager Resume Examples & Samples

  • Build robust models that forecast cash flow needs at the entity level
  • Work with Tax and other cross-functional teams to optimize intercompany funding
  • Build scenario analyses to help us better manage cash needs across the company
  • Analyze FX exposures by entity and aggregate across the company
  • Develop natural hedging strategies
  • Analyze hedging and constant currency impacts to the P&L
  • Attend investment manager meetings and understand Facebook’s portfolio management strategy
  • Execute share repurchase plans
  • Manage relationships with Facebook’s banking partners and with the credit rating agencies
  • Work independently on special projects when they come up
  • Bachelor’s degree in Finance, Accounting, Economics or related field
  • 10 + years experience in finance roles
  • Detail-oriented and ability to meet deadlines
  • Modeling skills
  • Familiarity with Oracle or SAP
139

Group Treasury Manager Resume Examples & Samples

  • You monitor the foreign exchange heding requests made by the affiliates and provide them ongoing support
  • You manage in real time the resulting foreign exchange positions of UFS and hedge them with external counterparties at the best conditions
  • You follow-up the treasury position of UFS and of the different (international) companies in the Umicore Group. Based on the global Treasury position and needs, you will ensure daily the optimal funding conditions with external counterparties (banks, commercial paper)
  • You contribute to the analysis and production of various treasury reports on FX results and exposure. Cost of indebtedness, treasury position
  • You monitor the metal hedging requests of the BUs and hedge open positions in the marktes (SAILOR) and the internal credit facilities and intercompany loans / deposits, ensuring compliance with the Transfer Pricing methodology (tax ruling APA), the internal control requirements (MICR, BRA,...) and the external financial regulations (EMIR, MiFiD,;;;)
  • You monitor the settlement of treasury operations (confirmation / netting) and ensure that workflow with the treasury department remains solid. Play the role of single point of contact with the Payment Factory Team
  • You supervise the bank accounts management and structure (opening, closing, cash pooling, ...) and related banking documentations (KYC, MiFiD,...)
  • You perform the analysis and reporting on the bank costs and other KPI's and contribute to the set-up of a forecasting tool and to the maintenance of a strong forecasting process
  • You take up gradually an active advisor role towards the BUs and affiliates in assessing their foreign exchange risks and funding needs and helping them in structuring solutions
140

Treasury Manager Resume Examples & Samples

  • Oversee daily cash positions to ensure liquidity and funding needs
  • Manage relationships with banks and debt providers
  • Facilitate loan process from origination to closing
  • Evaluate alternative banking and long-term borrowing strategies and make recommendations
  • Manage, direct, and develop staff
  • Provide meaningful cash metrics to measure performance
  • Calculate and monitor debt covenant calculations
  • Maintain hedge accounting
  • Provide cash analytics
  • Interact with multiple departments
  • Backup treasury financial analyst on all daily cash management activities
  • Manage insurance coverage, negotiations, claims management and certificate of insurance processes
  • Ad hoc requests as determined by management
  • Minimum Education Required: Bachelor’s Degree
  • Minimum Experience Required: 5 years Banking / Corporate Treasury Operations Experience
  • Licenses/Certifications Preferred: Certified Treasury Professional
  • Strong attention to detail, ability to multitask
  • Solid understanding of payment methods (ACH, wire, checks) and treasury products / services
  • Ability to prioritize tasks / deliverables and manage time efficiently
  • Reliable self-starter
141

Senior Treasury Manager Resume Examples & Samples

  • Lead global or regional projects assigned by WOCS management team as the program manager. Take ownership to ensure projects are completed with high quality and within required timelines
  • Work closely with engineering (e.g. Universal Store (UST), BingAds) and MSIT teams to provide business requirement documents, lead user acceptance testing, and launch new order to cash systems
  • Seamless engagement with regional WOCS credit managers to ensure local subsidiary requirements are met during system design
  • Collaborate with cross-function teams and lead vendor team to support new business launches
  • Collect feedback from WOCS users and provide recommendations in the development of automated processes to reduce costs and improve efficiencies
  • Build and maintain good relationships with vendors, partners, customers and other Microsoft groups
  • Provide training and communication about WOCS processes to business stakeholders or customers/partners
  • Lead improvement of quality assurance and training programs in vendors
  • Support initiatives to improve Customer Partner and Experience
  • Ad-hoc projects assigned by management team in WOCS
  • 5-7 years of experience in a multinational corporation with 2+ years of project management experience is required
  • A Bachelor’s degree (preferably in: Business, Accounting, Economics, Finance or Computer Engineering)
  • Experience in Treasury/Finance/Credit/IT/System Implementation is a plus
  • Excellent organizational and strong communication skills, both written and verbal
  • Cultural awareness in working with many diverse groups
  • Ability to work independently, under pressure, and with tight deadlines
  • Ability to prioritize deliverables and manage cross-group projects
  • Growth mindset and ability to lead through ambiguity
  • Proven negotiation skills and ability to build partnerships and influence stakeholders at senior levels of external and internal customers
  • A can-do attitude, critical and analytical thinking, self-confident, and a passion for building relationships and customer service are very important
142

Treasury Manager Resume Examples & Samples

  • Support Assistant Treasurer with forecasting and modeling on company’s growth initiatives such as credit facility refinancing, high yield bonds, ATM programs, recapitalization and other debt management activities
  • Prepare stress tests on company’s debt, liquidity and impact to the company’s balance sheet and income statement during changing economic and volatile commodity environments
  • Manage integration of acquired companies’ cash needs into Sprague’s cash forecast, business model, and borrowing needs. Manage the acquired company’s system integration and positive bank relationships with acquired company’s banks and performance all bank administrative duties
  • Supervise Treasury Analysts and the daily cash management activities of the Company including financing and investment opportunities
  • Prepare 10 day Forecast and 30 day Forecast (if necessary) to identify short term needs of company
  • Research and resolve Treasury issues
  • Oversee and validate monthly interest expense
  • Prepare Company’s Borrowing Base financing documents
  • Responsible for analyzing monthly bank analysis service charges
  • Maintain and modify Company bank accounts
  • Oversee proprietary banking software database for Treasury
  • Responsible for the monthly close cycle of Treasury
  • Prepare/compile monthly reports on Interest Rate Swaps and the Company’s Blended interest rates
143

Treasury Manager Resume Examples & Samples

  • Participate in discussions on surpluses and deficits, providing expert advice on cash flow management and deposit solutions
  • Play a leadership role in discussions with the Account Manager with regard to cash flow management solutions
  • Help the Account Manager sell specialized products by fostering the growth of profitable business
  • Manage cash flow linked to payments and account reconciliation, payroll, and deposits and investments
  • Be responsible for prospecting and business development in cash flow management
  • Together with the Account Manager, perform in-depth analyses of the portfolios of clients in your region in order to identify additional products and appropriate sales approaches for them
  • Inform the Account Managers and other team members of new specialized products
  • Approach companies to sell them our specialized products, keeping our quality and profitability objectives in mind
  • Coordinate special solicitation activities together with the Senior Manager or Account Manager
  • Help set up solutions sold to clients and coordinate any related training
  • Ensure visibility for the Bank's products by organizing promotional activities and acting as a representative for various parties
  • Listen to clients to evaluate their level of satisfaction and help retain them
  • Bachelor’s degree in a related field and six years of relevant experience, OR Master’s degree in a related field and four years of relevant experience, OR undergraduate diploma from the National Bank University Program and eight years of relevant experience
  • Accreditation CTP (Certified Treasury Professional)
  • Relevant experience in cashflow management
  • Bilingualism, both spoken and written (English and French), an asset
144

Prudential & Treasury, Manager Resume Examples & Samples

  • Participate in FS Risk engagements
  • Research the latest UK and international regulatory developments and our clients' response
  • Conduct performance reviews and contribute to performance feedback for all levels of staff
  • Good communication and interpersonal skills with the ability to communicate effectively at all levels with clients and internally
  • Team player, ability to work under pressure and to deadline
  • Strong analytical and problem solving skills and the ability to present complex information in a clear and concise manner
  • Extensive knowledge of prudential regulation, along with the skills and experience to work with clients on practical solutions
145

Treasury Manager Resume Examples & Samples

  • Bachelor degree with a concentration in Finance, Accounting or Economics
  • Minimum five years with progressive experience in cash management, treasury and policy development
  • Strong understanding of cash management concepts, including cash positioning, cash flow forecasting
  • Strong ability to integrate cash management into broader, company-wide strategies
  • Strong interpersonal, presentation, organizational, analytical, project management, and communication skills
  • Proficient in use of financial reporting systems; experience using and/or implementing new processes
146

International Treasury Manager Resume Examples & Samples

  • Demonstrates advanced knowledge of corporate finance theory
  • Demonstrates the ability to apply corporate finance theory and capital methods concepts knowledge in the context of industry and market trends
  • Analyzes the data and conclusions and makes recommendations about policy direction
  • Prepares complex financial projection models, performs complex firm valuations and makes recommendations based on findings
  • Strong understanding of capital markets and economic theory
  • Strong analytical capabilities and excellent spreadsheet modeling capabilities
  • Executes transactional banking accurately and interprets data to execute investment, financing and hedging strategies
  • Excellent communication skills, including verbal and written, and comfort reporting into a remote-based leadership team
  • Receives guidance on overall project objectives
  • Balancing region-specific goals with global team goals and aligning recommendations to consider both groups of needs
  • Able to complete work independently
  • Provide timely and in-depth analysis on complex tasks and projects
  • Develop knowledge of market trends and dynamics
  • Work on various special projects on an “as needed” basis
  • Executive presence in interactions with Senior Management
  • Prioritize development of direct reports, including frequent coaching
  • Bachelor’s degree in accounting, economics, or finance required
  • Related professional designation or MBA preferred
  • Must have excellent analytical and organizational skills and demonstrate great attention to detail
  • Successful candidate will possess strong interpersonal skills and well-developed written, verbal and presentation skills
  • Comfort working simultaneously on a broad range of projects and ambiguity
  • Advanced knowledge of Microsoft Office Excel (e.g., Pivot Tables, V-Lookup, etc.) and Microsoft Office PowerPoint
  • Previous experience with a Treasury Management System preferred
  • Minimum of 5+ years’ experience
147

Treasury Manager Resume Examples & Samples

  • Define and execute the implementation of a Treasury Management System with a recognized provider
  • Work with regional Treasury teams to manage the global liquidity of the Company and support operational requirements. This will include oversight of various cash pools and the inter-company payments netting process
  • Support and validate the global cash and debt forecasts, analyze variances, and work with the business groups to improve forecasting reliability
  • Involvement with compliance reporting related to the asset-backed and other loan facilities
  • Develop operational Treasury efficiencies in partnership with the shared services organization – e.g. setting up host-to-host connectivity for global disbursements and a payments factory
  • Operate the commodity hedging policy and develop a foreign exchange risk management program
  • Support capital market transactions and other efforts such as supply chain financing
  • Develop and execute optimal strategies for cash repatriation from various countries as well as evaluate inter-company financing alternatives
  • Minimum of 5 years’ experience, working in a centralized treasury function with finance teams and financial institutions for a large multi-national corporation
  • Ability to work effectively on a cross-functional and cross-regional basis
  • Self-motivated and driven to continually develop efficiencies in all Treasury processes
148

Treasury Manager Resume Examples & Samples

  • Part Qualified or a proven Finance/Banking background
  • At least 5 years’ experience of working in a large (ideally multinational) organisation
  • Demonstrated experiences working with outsource partners
  • Confident in the use of Excel, Word and SAP
  • Good written and oral communication skills are required as the role requires frequent contact with customers, vendors, our outsource partners and banks
  • An excellent team player, participating willingly and acting in support of the Finance Shared Service Centre and the overall business objectives
  • Experience in managing process change
  • Experience of Tandem, Flame, Tsys would be an advantage
  • Fluency in a second European language would be helpful
149

Transactions & Treasury Manager Resume Examples & Samples

  • Build and maintain relationships with clients
  • Proactive business development to win new work and build our brand in the market
  • Overall responsibility of quality for client service within the Private Capital portfolio
  • Build networks and relationships internally and externally
  • Contribute to people initiatives, including retaining and training our team
  • Significant role in the management of the team both in terms of strategy and operations and also through managing junior staff development and assignments
  • Technical and practical knowledge and experience in advising UK and non-UK domiciled individuals and families, in particular inheritance tax and trusts
  • ACA / CA / Tax Inspectors with full Technical Training course (ATT/CTA), or a breadth of knowledge equivalent to a Tax specialist qualification
  • Qualified Lawyers with Tax and Private Client experience
  • Business development skills; able to identify and convert opportunities to sell work
  • Experience of coaching and developing more junior staff
150

Senior Treasury Manager Resume Examples & Samples

  • Global cash flow forecast modeling, including partnering for alignment with FP&A
  • Manage and drive process improvements for our global cash positioning and account structure
  • Lead the research and implementation of liquidity investment products to improve interest income
  • Manage the workflow for implementing OD lines, and related credit support
  • Monitor global cash balances for appropriate cash coverage, and strategic uses of cash
  • Work closely with Finance, Tax, Accounting, and Legal to drive cash funding solutions for business operations
  • Direct Treasury workstation reporting processes and lead documentation of all TMS modules utilitzed by your teams
  • Manage liquidity and cash operations metrics based reporting, to guide team goals and priorities
  • Partner with internal and external stakeholders to lead your teams opening accounts in support of Amazon’s rapid global growth
  • Help manage our global bank relationships, including legal contract negotiations
  • 8+ years Treasury, FP&A, Finance, or Accounting experience
  • MBA, CPA, CTP, CFA or similar
  • Excellent communication, organizational, and problem solving skills
  • Ability to successfully manage multiple competing priorities simultaneously
  • Experience with Cognos BI software and Oracle Hyperion Essbase
  • Experience managing global liquidity and cash operations in a complex multinational environment
  • Experience managing workflows and controls around a Treasury Management System
  • Experience with financial statement analysis, in-house banks, pay on behalf of structures, and multilateral netting
  • Able to evaluate and implement operational controls and process to ensure high volumes of transactions are initiated accurately and timely by your teams
  • Implement continuous improvement processes for global cash positioning, ensuring variances are researched and resulting data is incorporated into future process
  • Ability to work independently and lead their teams to drive implementation of small and large-scale process improvements
  • Amazon is an Equal Opportunity-Affirmative Action Employer – Minority / Female / Disability / Veteran / Gender Identity / Sexual Orientation
151

Treasury Manager Resume Examples & Samples

  • Understand, manage, and supervise all aspects of the Group’s liquidity, including the preparation and consolidation of the Group’s cash flow forecast, reporting and analysis of actual results against forecast, evaluate supply chain financing, receivable sales and other options to improve working capital management, manage the daily financing decisions and
  • Experience in a corporate or bank Treasury plus a broad understanding of the credit markets and working capital management generally
  • Strong analytical, organization, and interpersonal skills
  • Strong spreadsheet and modelling skills
  • Willing to adapt quickly to quick changes in direction
152

Treasury Manager Resume Examples & Samples

  • Manage global cash balances and direct the investment of available funds according to established parameters. Forecast annual and daily cash needs to manage daily global cash liquidity needs
  • Administer bank accounts and assist in managing banking relationships, both domestic and international
  • Responsible for bank account structure including sweep/pooling structures and implementation of new banking products and services for Corporate and Division bank accounts
  • Oversee the maintenance of the global bank account database, as well as analyzing worldwide bank fees. Identify and resolve discrepancies
  • Recommend and implement new banking products, services and cost saving initiatives as well as identify opportunities to streamline processes and improve working capital
  • Together with Treasurer, develop strategies to manage exposures to interest rate and foreign exchange risks, where appropriate. Develop policies to meet strategies and ensure adherence to policies
  • Assist with the management of borrowing arrangements as necessary
  • Provide Treasury related support for M&A initiatives
  • Support the corporate insurance annual renewal process by coordinating the compilation of data and information requested by insurance carriers and other tasks as assigned
  • Coordinate activities with accounting, tax, legal and intercontinental finance to ensure optimal delivery of treasury services
  • Oversee the administration of both the U.S. and International Corporate Credit Card program as well as the U.S. P-Card Program
  • Continuously review and improve Treasury policies and procedures
  • Oversee and/or support the periodic internal and external audit review process including the consolidation of all associated requests, adherence to SOX controls, as well as adherence to FACTA and FBAR reporting
  • Collaborate with IT and our external service providers on PCI compliance for the Novanta Merchant Accounts
  • Serve as the treasury lead for any ERP system implementations or updates
  • Provide leadership and strategic direction of global treasury operations by helping to bring forward new Treasury strategic projects, leading their prioritization, preparing project justifications, working directly with the Treasurer to obtain buy-in from executive leadership, and ultimately leading their implementation
  • BA/BS degree in accounting or finance with 6+ years of Treasury experience
  • Minimum of 4 years of experience of international banking and transaction management experience including opening international bank accounts and international cash management principles
  • Minimum of 3 years work experience in global foreign exchange, interest rate risk management including administering FX balance sheet hedging program
  • Ability to manage and execute multiple projects concurrently and keep to deadlines
  • Strong organizational skills with attention to detail, record keeping and follow-up
  • Excellent communications and presentation skills, to be able to inform and persuade both orally and in writing to all levels of management
  • Strong engagement skills that influence and build credibility with stakeholders
  • Customer and results oriented
  • Excellent follow through, attention to detail but ability to understand big picture
  • Working knowledge of BOA CashPro, JPMorgan Access, and HSBC HSBCnet online banking systems, a plus
  • Bloomberg, Oracle and Hyperion experience, a plus
153

Treasury Manager Resume Examples & Samples

  • Oversee daily cash positioning activities, including managing daily liquidity, cash position reconciliation, and bank reporting. Update senior management on current cash positions and anticipated changes to cash. Identify and communicate to internal stakeholders anticipated short-term cash flows
  • Develops, administers, and documents corporate policies, programs and procedures
  • Assist with initiatives to optimize banking architecture to support corporate and cash management processes. Identifies areas of improvement and development action plans to implement new processes
  • Manage and improve the cash flow forecasting process
  • Collaborate with IT to establish and maintain treasury technology solutions, including required interfaces, to support cash management activities
  • Develop appropriate reporting and modeling capabilities required to support short-term and long-term liquidity forecasting needs
  • Coordinate and oversee regular cash audits throughout organization
  • Develop cash targets by legal entity to support efficient liquidity management
  • Support organization to assure all necessary locations are PCI compliant
  • Ensures cash needs are met for all venues by ordering bank supplies, manual checks, cash for change and event settlements, processing stop payment and retrieving check images as requested
  • Prepares journal entries for various bank activity including: payroll clearing, investment account activity, intercompany transfers, bank adjustments, returned items, chargebacks, bank service charges, and credit card fees
  • Reviews work of accounts payable and accounts receivable at month end to ensure all ACH/wire transfers, manual checks, and customer ACH/wire deposits have been recorded
  • Analyzes monthly credit card and bank service charges and ensures location cash/credit card handling practices are at minimal costs
  • Perform other related duties as required­­
  • High degree of professionalism, sound judgment, and discretion in contacts with management and external organizations
  • Computer proficiency (Microsoft Office, accounting software, etc.)
  • Knowledge of sports and entertainment industry
  • CCM, CPA, CTP, or MBA
154

Treasury Manager Resume Examples & Samples

  • Manage corporate financing initiatives, from the planning to execution, including debt capital market and loan market transactions for the group
  • Support on the relationship with credit rating agencies
  • Assist in the development and management of global banks relationship
  • Assist and provide guidance to affiliates on all treasury aspects, to support the development and implementation of efficient treasury, financing and banking strategies in line with the company financial policies
  • Support company-wide budget processes related to cash flow and balance sheet forecast
  • Provide Treasury support to Corporate projects
  • Support the development of senior executive presentations
155

Group Treasury Manager Resume Examples & Samples

  • Assist and support the Group’s decision making processes with regard to external borrowing/deposit requirements
  • Undertake activities associated with cash and liquidity management across the group
  • Undertake activities associated with financial risk management particularly in respect of cash borrowings/deposits, foreign exchange and other financial flows across the group
  • Assisting in optimising the group’s position through effective management of cash, debt and funding costs
  • Providing assistance to other Group companies and Treasury function in relation to treasury-related matters
  • Acquisitions/disposals/business change resulting in ad-hoc finance and treasury projects
  • Collate the monthly Debtors reports
  • Updating policy changes for review by the Treasury Committee
  • Updating process and procedures for the role
  • Maintain good relationships with all contacts (e.g. banking partners, banking agent, auditors, Group Finance and wider commercial organisation)
  • Market monitoring
  • Payment authorisation
  • Daily monitoring of UK company balances
  • Administration of online banking systems
156

Treasury Manager Resume Examples & Samples

  • Develop, implement, and audit policies and procedures to ensure necessary controls are in place for all treasury activities including cash management, account maintenance, payment systems, and armored car services
  • Manage and forecast the Company’s daily cash financing and investment needs
  • Provide coaching, guidance and training to the Treasury team to ensure career growth and continued learning and professional development. Directly supervise the activities of up to 5 direct reports
  • Develop and manage relationships with our banks, payment processors, and vendors
  • Guide the forecasting, budgeting and long-term planning activities for Treasury owned expenses and income by managing the budget/planning timelines, participating in executive reviews, and partnering with our vendors and business partners to understand the assumptions and key drivers of changes vs. baseline/prior submissions
  • Originate reports in support of quarterly disclosures and debt covenant compliance
  • Supervise the design and execution of complex analysis to answer ad hoc questions as needed
  • Bachelor’s Degree (MBA preferred) in Business, Finance, Accounting or a related field
  • 5-7 years of progressive experience, preferably in treasury/corporate finance
  • An understanding of treasury operations, including general policies and practices
  • Proven ability to motivate and manage a team. Prior managerial experience required
  • Excellent written and oral communication skills, including the ability to interact with senior executives and banking counterparts
157

Treasury Manager Resume Examples & Samples

  • Bachelor's degree in finance or accounting, CTP preferred
  • 10+ years of finance experience
  • 5+ years of global banking experience and design of efficient global cash management processes
  • Experience with implementation and/or usage of any of the leading Treasury Management Systems
  • Solid risk management experience covering hedging strategies
  • In depth practical knowledge of financial analysis techniques and methodologies, financial statement analysis
  • Modeling experience with specific focus on the balance sheet and cash flow modeling
  • Experience in the pharmaceutical industry a plus
  • Ability to manage competing priorities effectively, making good decisions based on business priorities and objectives and managing staff
158

Treasury Manager Resume Examples & Samples

  • Rating agency analytics
  • Debt issuance and compliance
  • Capital financing program
  • Interest rate risk management
  • Assist Treasurer and Assistant Treasurer with capital markets transactions/analyses including debt issuance, interest rate swaps and related activities
  • Assist Treasurer and Assistant Treasurer with banking and rating agency relationship management
  • Lead monthly consolidation and analysis of operating segment and corporate cash flow forecasts
  • Lead monthly financial model updates, leverage and liquidity and capital planning efforts
  • Monitor all debt agreements as well as covenant compliance and interest expense forecasting
  • Assist with AECOM M&A efforts, including diligence, negotiation around financing and integration
  • Treasury subject matter expertise
  • Ability to read and understand financial statements and accounting concepts
  • Proven self-starter with strong leadership, project management, problem solving and analytical skills
  • Superior knowledge of Microsoft Office tools, particularly Excel, PowerPoint and Word
  • Ability to operate, produce and thrive in fast-paced and highly time sensitive environment
  • Superb work ethic and integrity – enthusiastic, positive attitude
  • Team player, able to work collaboratively within the department and across segments and functions as well as work as an individual contributor
  • Candidates should have a solid understanding of treasury functions in a large corporate environment
159

Treasury Manager Resume Examples & Samples

  • Perform equipment lease reviews: performing lease vs. buy analyses to determine the least expensive method for facilities to finance equipment acquisitions as well as perform FAS 13 testing to determine appropriate accounting classification; manage GE early buyout process for expiring GE leases
  • Manage short-term financing requirements of daily cash flow needs including preparation of daily short-term borrowing report and weekly cash report for senior management
  • Prepare and review debt footnote for quarterly public filings
  • Manage intercompany banking function including computation of monthly intercompany interest for certain non-wholly owned facilities
  • Various other tasks including, but not limited to, monthly reconciliation of consolidated debt, compilation and distribution of quarterly Treasury Report to senior management, letter of credit administration, payment of departmental expenses and acting as Corporate Finance point person for Sarbanes-Oxley reporting requirements
  • 5+ years relevant experience preferred
  • Accounting or Finance background required
  • Corporate or investment banking experience or prior treasury experience preferred
  • Proficiency with EXCEL and PowerPoint required
  • Familiarity with financial statements preferred
160

Treasury Manager Resume Examples & Samples

  • Supports the Director, Treasury and Treasurer as well as manage, direct, and develop Treasury Services staff and projects, including daily, monthly, quarterly and annual activities
  • Understand, manage, supervise and report on all aspects of cash flow including daily position setting, forecasting, financing, debt, investment and associated policies and portfolios
  • International banking including support and collaboration with Luxembourg Treasury Manager, account openings and merchant card services
  • Manage relationships with financial service providers including managing services, quality and fee levels
  • Responsible for the quality of the department’s customer service to internal and external stakeholders including process improvements and projects, as needed
  • Be a member of the FX hedging committee and execute associated hedges, spot trades and valuations as well as be responsible for regulatory requirements
  • Supports the General Accounting and auditing of Treasury operations including budgets
  • Bachelor’s degree in Business, Finance, Economics or related field
  • 5+ years of experience in a corporate finance or accounting role
  • Excellent analytical and problem solving skills. Must be highly proficient in MS Excel and have demonstrated ability to learn new operations and reporting systems
  • Results oriented, with ability to prioritize work, manage projects in addition to monthly/quarterly workload, and meet project deliverable timelines
  • Ability to adapt quickly to changes in direction
  • Strong interpersonal, collaboration and communication skills (written, verbal, and presenting)
  • CTP, CPA or similar
  • Treasury management experience for a global company
  • Prior experience with a Treasury Management System, banking software/portals and bank products
161

Treasury Manager Resume Examples & Samples

  • Strong interpersonal skills (written and oral) and the ability to communicate effectively with a variety of levels of personnel
  • Possess a sense of urgency and attention to accuracy and detail
  • Organizational skills and the ability to manage multiple projects and competing tasks / priorities made
  • A previous experience in an international service company and in China would be a plus
162

Treasury Manager Resume Examples & Samples

  • Develop and maintain a new short term cash and debt forecasts; analyze variances, and work with the business groups to improve forecasting reliability and liquidity planning
  • Support Credit Risk Management in identifying process improvements, including new software tools and coordinate implementation of new solutions, policies, and procedures
  • Oversee administration of banking websites and bank services, corporate Treasury databases and record-keeping, working closely with corporate treasury staff who are responsible for day-to-day execution and maintenance
  • Provide ongoing review of key treasury controls and departmental processes, controls, job aids and policy documents. Update as required to insure that they reflect current processes. Recommend and implement process efficiencies and improvements
  • Provide actual and budget information regarding gross and net banking fees as needed; implement approved recommendations to reduce bank fees
  • Conduct regular benchmark studies of banks and their services
  • Implement and oversee ongoing utilization and enhancement of treasury dashboards
  • Support integration planning of Corp Development activity and provide treasury perspective of ROI, IRR and discounted cash flows
  • Execute strategies to enhance liquidity while reducing liquidity management costs, in a timely and efficient manner
  • Identify financial risks as they relates to treasury operations within the region; develop and execute risk mitigation strategies in a timely and efficient manner. These risks will include, but not be limited to, currency fluctuations, banking disruptions, cross border transactions and client bankruptcies
  • Ensure the company remains in compliance with all Treasury policies and procedures (i.e., Cash Collection and Concentration Policy, Debt Management, Dividend Policy, Payments Risk Policy, and Investment Policy) as required
  • Stay abreast of latest technology, trends, Central Bank policy changes and economic developments within the region
  • Implement new banking structures and manage liquidity requirements through regional cash pools, intercompany loans and bank facilities
  • Manage requests for parent guarantees, letters of credit and other debt instruments; analyze requests for loan renewals and increases in equity or debt
  • Obtain a very detailed knowledge of working capital for the region and explain monthly working capital results
  • Support integration of newly acquired entities into Treasury Policy, banking and liquidity solutions
  • 4-6 years’ experience in international treasury or finance preferably with a US multi-national corporation. Broad knowledge of international financial instruments and markets, with experience in international banking laws and sovereign monetary regulations
  • Track record of project management, productivity and process improvement within the area of cash and working capital management
  • Excellent analytical and verbal/written communication skills and the ability to influence actions across all levels of the organization
  • Experience working efficiently and effectively with business partners and staff in remote locations
  • Proficiency in Word, Excel and working knowledge of Treasury Management systems and processes
  • Bachelor’s degree in accounting or finance. MBA or Certified Treasury Professional a plus
  • Fluency in English required; multi-lingual capabilities a plus
163

Treasury Manager Assistant Resume Examples & Samples

  • University degree with finance/accounting background is required
  • At least 5 years treasury experience in a leading MNC in China
  • Excellent knowledge of Chinese SAFE policy
164

Treasury Manager Resume Examples & Samples

  • Relevant Experience or Degree in: Typical fields include Accounting, Finance preferred, other majors considered. Combinaton of relevant training and/ or experience in lieu of degree
  • Typically Minimum 8 Years Relevant Exp
  • Experience in industry
  • Certified Financial Advisor (CFA), Certified Treasury Professional (CTP)
  • Skills / Knowledge - Having broad expertise or unique knowledge, uses skills to contribute to development of company objectives and principles and to achieve goals in creative and effective ways. Having ownership of a function, account or matrix management responsibilities, uses knowledge to ensure success, strengthen relationships, expand the business, and lead matrix teams on complex projects. Barriers to entry such as technical committee review may exist at this level
  • Job Complexity - Works on significant and unique issues where analysis of situations or data requires an evaluation of intangibles. Exercises independent judgment in methods, techniques and evaluation criteria for obtaining results. Creates formal networks involving coordination among groups, both internal and external
  • Supervision - Acts independently to determine methods and procedures on new or special assignments
  • Microsoft Office - Proven experience in the use of Microsoft Office, particularly Excel
165

Treasury Manager Resume Examples & Samples

  • Oversees daily cash forecast and global cash position reporting
  • Identifies opportunities for and supports global cash movements, including documentation of intercompany loans
  • Maintains strong bank relationships while managing global banking structure
  • Monitors and oversees existing bank account services and signatories. Includes bank account administration for opening, migrating and closing accounts
  • Evaluates and recommends banking products, services and platforms as appropriate
  • Serves as primary administrator on online banking platforms, FX-All and other Treasury platforms
  • Monitors FX exposures and develops recommendations to create natural currency hedges. Assists with development, maintenance and operations of other hedging activities
  • Manages the administration of the corporate travel credit card program, corporate P-Card program and Concur expense reporting system. Monitors, analyzes and reports on program performance
  • Assists Treasurer with lease review and capital lease testing
  • Manages debt service schedule. Ensures timeliness of interest and principal payments
  • Supports Treasurer with debt refinancing activities
  • Supports debt covenant compliance reporting
  • Oversees issuance and periodic reporting of letters of credit and bank guarantees
  • Identifies opportunities and implements Treasury related business process improvements, including multi-lateral netting and cash pool structures
  • Reviews, approves and releases electronic disbursements
  • Develops and supports Treasury policies, procedures and controls
  • Effectively works with and supports internal business partners, including accounting, tax and legal teams
  • Works with internal and external auditors
  • Supports special projects and acquisitions as assigned
  • Supervises two treasury analysts
  • Interviews and trains employees; plans, assigns, and directs work; appraises performance, rewards, and disciplines employees; addresses complaints and resolves problems
  • Works with Human Resources on employee issues
  • Ability to execute with a very high level of accuracy in a time sensitive environment
  • Ability to plan, manage, complete regular and special projects. Must be able to analyze finance/accounting processes, procedures and controls and suggest and implement improvements
  • Ability to construct financial and other reporting models to assess and report performance
  • Excellent communication skills in dealing with internal and external customers and business partners. Must have a customer service focus that builds and enhances positive relationships within the organization and with external parties
  • Bachelor's degree in accounting, business administration, finance, or a related field (required)
  • 5+ years of domestic and international treasury experience in a multinational company (required)
  • 3+ years of supervisory/manager experience
  • Excellent communication (written and verbal) and analytical skills
  • Demonstrated ability to identify issues, propose solutions and take ownership, including follow-through on recommended solutions
  • Demonstrated ability to effectively lead and manage complex projects across multiple functions/disciplines and geographies
  • Advanced: Accounting, MS Excel, MS Word and MS Outlook
  • Intermediate: Presentations, MS PowerPoint
  • Basic: MS Word
166

Assistant Treasury Manager Resume Examples & Samples

  • Understand, manage and supervise all aspects of cash flow. Manage day-to day activities in treasury functions to meet the funds’ financial obligations and repatriation objectives
  • Coordination of property manager’s quarterly cash transfers from rent to current accounts. Planning, booking & administration of foreign currency exchange requirements
  • Overview and development of cash flow reporting, forecasting and analysis. Participation to budgeting and cash planning
  • Investment of surplus cash - Review and recommend changes to the investment policies based on the market conditions. Negotiate deposits
  • Processes and systems - Evaluate, develop and implement cash management systems to optimize efficiencies
  • Recommend, implement and maintain process improvements, procedures and policies. Ensure corporate and treasury policies are adhered to
  • Provide support for transactions (acquisitions, disposals, financing) and other projects as needed
  • Coordination and regular monitoring (updating) of the Funds Flows. Identification and monitoring of Equity / income flows within Fund structure / business plans
  • Liaising with other departments: - Ensure business plans are properly implemented (income vs equity, financing rate etc) and address specific issues
  • Validation of the distribution amount by checking cash balances – identify variances and prepare variance report
  • Banking relationships: - Manage relationships with financial service providers
  • Monitor bank and debt covenant compliance in accordance with underlying financing agreements. Conduct benchmark studies of banks and their services to evaluate whether it fits our funds’ requirements
  • Monitor bank service fees and address quality issues
  • Internal loans: - Provide instructions for drafting of required internal loan documents (margins, repayments)
  • Managing intercompany loan positions and set up of controls for funds transfers
  • Administration: - Administration of the online banking system. Coordination of the bank accounts opening
  • Treasury/cash management experience – 1-2 years in a treasury environment, with experience including cash management and financial analysis
  • Ability to model and drive cash forecasting using advanced Excel skills
  • Good understanding of accounting principles
  • Knowledge of real estate portfolio strategy, banking and financial instruments
  • Proficient computer skills in the operation and functioning of all programs used by the organization, i.e., Microsoft Word, Excel, PowerPoint; Yardi knowledge (real estate accounting software) an additional asset
  • Fluent in English -German or French will be seen as an asset
  • Conscientious about timeliness of assignments and quality of work
  • Analytical, organization and interpersonal skills
  • Team player with excellent communication skills (verbal and in writing)
  • Able to prioritize. Attention to detail and accuracy
  • Keen to learn and develop. Interested in process improvement
167

Treasury Manager Resume Examples & Samples

  • Responsible for the cash management function, including developing policies and procedures and ensuring compliance with internal controls
  • Manage consolidated cash and investments monitoring and forecasting process
  • Oversee daily investments of cash, including assisting in the development of investment strategies in conjunction with outside advisors
  • Oversee maintenance of bank account structure and recommend and implement strategies for efficiencies and cost savings, including use of banking systems, ACH and other programs
  • Monitor bank analysis fees and negotiate fees and earnings credits with banks
  • Inter-company netting
  • Manage global insurance programs
  • Manage global foreign exchange hedging program
  • Administration of debt and compliance
  • Prepare, analyze and submit accurate bank covenant reports
  • Coordinate with internal groups and external auditors to ensure that Treasury processes adhere to internal policies and controls, as well as SOX and other statutory requirements
  • Perform other tasks or special projects as needed including work on acquisitions and divestitures
  • BA/BS degree in Business, Accounting or Economics; MBA or CTP is a plus
  • Prefer 5+ years of international treasury experience in a public global company
  • Designation as a Certified Cash Manager or Certified Treasury Professional preferred
  • Very strong work ethic and willingness and ability to work effectively independently as well as part of a team
  • Experience in global cash management in a multi-currency environment
  • International cash pool/liquidity structures
  • Experience with Treasury Management Systems
  • An excellent understanding of the global banking industry and financial markets
  • Advanced analytical, organization, interpersonal skills and cultural sensitivity in resolving issues
  • Ability to multi-task, meet deadlines and adapt quickly to changes in direction
168

Prudential & Treasury Manager Resume Examples & Samples

  • Strong academic background including a Bachelor's degree in Finance, Economics, Accounting, Engineering or a related field
  • Experience in or exposure to any the following: Stress testing; Capital planning; RRP; Credit risk management; Market risk management; Asset and liability management; Banking or asset management industry and products
  • Regulatory reporting within a regulated institution
169

Treasury Manager Resume Examples & Samples

  • US Investment Stress Testing Analytics
  • Responsible for the execution and analysis of US Investment Stress Testing in support of key organization mandates including: Comprehensive Capital Analysis and Review (CCAR), Enterprise Wide Stress Testing (EWST) and Macro Stress Test (MST) scenarios
  • Review and Analysis the US Investment Results to ensure reasonability and accuracy, including Mark-to-Market (AOCI), OTTI, RWA calculation, and NII
  • Present Investment results and assumptions to senior management and governance committee
  • Work with Modeling teams to ensure the reasonability of US Investment Asset Spread result forecast
  • Documentation of key assumptions and process changes
  • US Investment Stress Testing Enhancement and Sensitivity Analysis
  • Identify and implement enhancements to the stress testing analytics systems, processes and procedures
  • Lead treasury analyst to ensure ALM valuation is sufficiently tested before implementation
  • Collaborate with partners across TBSM, and Business Partners, to make analytical and model enhancement. Lead cross-functional projects to completion
  • Provide thought leadership in Investment Stress Testing Model and Assumption enhancement
  • Prior CCAR/EWST or other Stress Testing experience
  • Key features and characteristics of Investment securities including MBS and ABS
  • Fixed income, capital market products and derivative products
  • Valuation concepts (such as cash flow, PV, IRR, duration), and interest rate hedging
  • Minimum of 5 years of experience in finance, risk, bank treasury or other relevant experience
  • Undergraduate degree in Business Administration, Finance, Mathematics or similar fields
  • Accounting or Finance designation (CFA, FRM, CMA, etc) is considered as an asset
  • Dual background/experience in Math/Engineering and Accounting/Finance is an asset
170

Treasury Manager Resume Examples & Samples

  • With assistance from Legal Dept, maintain banking resolutions and authorized signatories
  • Manage the servicers and negotiate pricing for Credit Card processing
  • Online Banking Systems Administration – Set up of authorized users, training, reporting
  • Prepare and deliver trust reports for trust counterparties
  • Coordinate with the treaty / reinsurance accounting dept to maintain appropriate Letter of Credit (LOC) amounts for each beneficiary. Maintain inventory and process amendments as needed
  • Provide reporting of collateral balances and coverage ratios for credit facility
  • Process replacements of deposits as necessary
171

Global Treasury Manager Resume Examples & Samples

  • At least 2 years of experience as Treasury Team Leader
  • Experience in leading a team,
  • Leadership skills,
  • Organizational skills and ability to work independently under pressure,
172

Treasury Manager Resume Examples & Samples

  • Oversees daily cash forecast and global cash position reporting. Work to minimize global cash balances through effective settlement of intercompany balances
  • Monitors and oversees existing bank account services and signatories, including annual TDF reporting. Includes bank account administration for opening, migrating and closing accounts
  • Serves as primary administrator for Oracle Treasury and Cash Management modules
  • Serves as primary administrator for online banking and FX trading platforms
  • Monitors FX exposures and develops recommendations to create natural hedges or structural currency hedges. Assists with development, maintenance and operations of other hedging activities
  • Assist in management of the administration of the corporate travel credit card program, corporate P-Card program and third-party expense reporting system. Monitors, analyzes and reports on program performance
  • Works closely with VP Finance Operations to analyze and integrate acquisition targets within the Finance Operations area
  • Supports VP of Finance Operations with debt refinancing activities
  • Supports debt covenant compliance reporting and quarterly SEC-related reporting
  • Reviews, approves and releases disbursements
  • Leads the annual insurance cycle, which includes: preparation of all applications, ad-hoc claims processing and year-end of auditing of various policies
  • Support the existing merchant service relationships and provide analysis as requested
173

Treasury Manager Resume Examples & Samples

  • Responsible for managing the Treasury relationships with various financial institutions and business partners
  • Supports Accounting and Finance team through the generation and analysis of various reports, schedules, etc
  • Manage the cash activity for all corporate and JV entities
  • Review weekly cash flow projections and monitor daily cash positions among multiple bank accounts
  • Process and/or approve wire transfers, ACH and other electronic payments
  • Oversight of bank reconciliation process
  • Manage the bank account opening process
  • Assist Treasurer with managing the company’s short term liquidity by either borrowing under the Corporate Credit Facility or investing excess cash as needed
  • 2017 WORLD’S MOST ADMIRED COMPANIES LIST
174

Treasury Manager, Investments Resume Examples & Samples

  • Determine appropriate asset allocation consistent with risk budget and cash flow forecast
  • Identify and manage external investment managers, monitor risk and compliance, facilitate accounting and reporting process
  • Accumulate and evaluate market activity in order to inform decisions on risk and balance sheet capacity
  • Present to senior management to support decision-making for capital allocation decisions
  • Understand Airbnb’s deposit exposure and ensure short term investments adhere to credit and risk policies
  • Partner with Tax, Accounting, Legal and various others to solve complicated cross-functional challenges
  • Ensure that all weekly, monthly and quarterly requirements are met timely and accurately
175

Treasury Manager Resume Examples & Samples

  • Utilising a newly implemented global treasury management system, assist with liquidity management, monitoring and analysing regional cashflows and multi-currency balances in corporate, settlement and custodian accounts
  • Daily preparation/review of a multi-currency five day cashflow, including variance analysis of prior day positions, identifying opportunities arising from surplus cash positions as well as potential liquidity issues
  • Perform as necessary corporate dealing in money market and foreign exchange instruments, trading within approved guidelines with counterparty banks to negotiate FX deals on best execution basis
  • Co-ordinate investments and redemptions of seed capital investments in line with internal procedures
  • Ongoing monitoring and analysis of securities holdings and portfolio instruments across all asset classes
  • Testing of system enhancements and application releases
  • Support quarterly reporting of Treasury activities for Asset & Liability Management reporting to FIL Senior Management including analysis of underlying currency exposures
  • Maintain efficient communication between Treasury and other areas globally within Investment Management, Finance and Administration
  • Develop and maintain key processes and reporting to maintain a strong control environment
  • Strong and proven relevant experience encompassing Money Market & FX dealing, treasury analysis and Senior Management reporting of a high standard
  • Ability to work well within an international team; good inter-personal, communication, supervisory and networking skills
  • Strong numeric and analytical skills, experience with Treasury Management systems is preferred
  • Advanced analytical excel spreadsheet / MS Access skills
  • High integrity, diligent, conscientious and accurate, with a solid aptitude for risk management
  • Relevant tertiary qualification in Treasury / Finance / Accounting. Association of Corporate Treasurers’ AMCT or IACT qualification is an advantage
  • High integrity, energetic, diligent, conscientious and accurate
176

Treasury Manager Resume Examples & Samples

  • Treasury bank and trustee reporting for various debt agreements, covenant calculations, monitoring and forecasting cash and debt, bank financial reporting and certification processes
  • Treasury financial forecasting, modeling and budgeting: cash flow forecasting, overhead and interest expense budget preparation and tracking, Treasury accounting audit support
  • Delek US/Corp, Logistics, Refining, and Retail cash investment monitoring, reporting and documentation
  • Coordinate Treasury deliverables tracking, LC maintenance, debt and interest accounting calculations for certain segments, and support wire processes
  • Other ad hoc corporate or subsidiary segment tasks and analyses
  • BS Finance, Accounting or other Business Related degree
  • Advanced financial analysis and modeling—Excel skills a must; SAP knowledge useful
  • Cash flow forecasting and modeling
  • Financial statement review and analysis; budget preparation and tracking
  • Credit agreement and legal contracts review, documentation and reporting, including covenants
  • Advanced level of Excel experience
177

Treasury Manager Closing Date Resume Examples & Samples

  • Represent the Finance Team on a broad range of Association activities with finance considerations. Coordinate the involvement of all appropriate parties as needed to evaluate and implement finance related projects, procedures, and processes
  • Develop and maintain competence and depth of resources in the Treasury area. Ensure appropriate coverage of responsibilities and attainment of team objectives within required timeframes. Ensure appropriate cross training of finance team members. Also assist with completion of daily team responsibilities as needed
  • Develop and maintain strong relationships with Funding Bank employees and third party Cash Management service providers. Ensure that the Associations are effectively satisfying the needs of such providers and that the Associations’ evolving needs are being effectively communicated and addressed
  • Coordinate the development and maintenance of the systems and processes that handle Cash Management activities for the Associations and for their customers. Effectively coordinate with Information Services, third party providers, and other team members to maintain systems that provide streamlined services for the Associations and their customers. Provide oversight on existing cash management systems (Tran$act, Remote Deposit, Mastercard, etc.) to ensure effective operations and timely updates/enhancements
  • Foster and maintain an awareness of the fast-paced changes in the Cash Management/Treasury Services/Payments arenas. Is actively involved in the networking and relationship building that will ensure such awareness on an ongoing basis. Champion the implementation of appropriate advances at the Associations, Funding Banks, or third party providers as applicable
  • Ensure that the Associations are providing Treasury-related solutions that meet the specific needs of customers. Coordinate the development of educational tools for lending team members and/or customers to convey the Associations’ various services to customers. Provide direct Treasury service education to large or complex customers
  • Develop and coordinate training programs for lending team members regarding Cash Management services. Ensure such team members can effectively represent our services to customers and/or effectively implement Cash Management activities for the Associations and their customers
  • Ensure controls are implemented, understood, and followed to minimize fraud risk exposure with regard to cash management activities. Coordinate with Internal Audit to ensure appropriate monitoring of controls. Provide training to lending team members to ensure understanding and adherence to risk controls
  • Research and analyze the financial ramifications of potential changes to Treasury products or processes. Monitor the effectiveness and economic efficiency of services provided by third parties. Summarize the results of the financial analysis and develop recommendations for review by the Vice President-Finance & Treasurer
  • Serve as primary back-up to the Vice President-Finance & Treasurer regarding the development and oversight of Cash Management operations. Lead the Cash Management activities of the Finance Team in the absence of the Vice President-Finance & Treasurer. Review work of and provide support to the Cash Manager, the Treasury Product Manager, and the Finance Specialists in their Cash Management/Treasury Services endeavors
  • Complete special projects as assigned by the VP- Finance and Treasurer
178

Treasury Manager Resume Examples & Samples

  • Managing group liquidity,
  • Forecasting net debt and cash flows,
  • Overseeing and improving existing cash payment processes,
  • Managing group bank accounts and structures,
  • Foreign exchange risk management,
  • Intercompany funding,
  • Integrating acquisitions,
  • Treasury accounting, and
  • Assisting with the development of treasury team members
179

Treasury Manager Resume Examples & Samples

  • Have a Bachelor of Science degree in Finance, Business, Accounting or Economics
  • Have 8+ years of Treasury/Cash Management experience
  • Have Strong analytical skills and comfortable with large, complex data sets, legacy systems etc
  • Proficiency with PowerPoint to present financial models and forecasts
  • Experience initiating and leading projects and ability to work with senior managers and key stakeholders in Corporate and Business Unit Departments
  • Leads special projects for treasury operations
  • Works with multiple departments involved with Treasury Operations and responds to ad hoc requests as determined by management
  • Performs troubleshooting and ad-hoc analyses as required
  • Good written and verbal communication, attention to detail and problem solving skills
  • Experience with managing teams (preferred)
  • Have good written and verbal communication skills
  • Client is ready to hire asap!!!!
180

Treasury Manager Resume Examples & Samples

  • To manage existing banking relationships and set up new relationships when required
  • To implement and develop treasury operations in new markets in APAC for Dyson
  • To efficiently manage the cash and funding requirements for subsidiaries
  • To monitor and manage the day to day FX exposure in line with Dyson policy
  • To manage the monthly intercompany netting and in-house loan programme
  • To work on the preparation of the monthly consolidated SEA cash flow forecast
  • To work closely with commercial teams to analyze underlying FX exposure and collaborate on FX related discussions with suppliers
  • To deliver improvement to Dyson’s treasury systems and processes
  • To work effectively with Treasury Back Office to maintain and enhance the control environment
  • To prepare papers for the monthly committee meetings
  • Degree / Diploma in Business, Finance or equivalent. MBA is preferred but not necessary
  • At least 5-6 years’ of solid treasury experience managing multiple countries in APAC
  • This role is challenging and requires a strong intellect with strong numeracy and analytical skills
  • Team player, willing to be flexible in tasks and activities taken on
  • Strong communicator and influencer who is commercially minded and able to approach and challenge colleagues and external professionals to seek out and understand the issues, energetic and engaging with a positive approach
  • Ability to multi-task and plan effectively when working with a variety of project teams in an often high-pressure, competitive environment in an organised manner
181

Treasury Manager Resume Examples & Samples

  • Investments
  • Make recommendations for portfolio strategy and transactions
  • Perform pre-purchase analysis of securities
  • Monitor and review portfolio holdings
  • Report to Asset Liability Committee (“ALCO”)/Bank and Corporate Management on portfolio performance and compliance
  • Execute transactions, assure trades settle and are recorded properly
  • Maintain relationships with various brokers and service providers
  • Ensure compliance with applicable policies and regulations
  • Funding
  • Ensure that regular and contingent funding sources are available the Bank including Fed Funds, Repo, Promontory Network, FHLB and Federal Reserve Discount Window funding
  • Work with the Corporate Finance to secure funding and capital needs at the Corporation including bank loans, capital market debt and equity issues
  • Work closely with Corporate and Bank FP&A to determine future capital and funding needs ensuring that the those funding and capital raises fall within regulatory guidelines
  • Liquidity
  • Monitor and report on Bank liquidity
  • Monitor and report on regulatory cash coverage requirement
  • Work with FP&A to determine when liquidity may be required given the liquidity forecast at both the Bank and Corporation
  • Asset/Liability Management
  • Manage the both Bank’s and Corporation’s interest rate risk exposure to within Board-approved Policy primarily utilizing the Bank’s investment portfolio
  • Work closely with the third party to produce interest rate risk analysis and reports
  • Regularly update the strategy to ensure the Bank and Corporation stay with its designated limits
  • ALCO
  • Prepare materials for both the Bank and Corporation’s ALCO and Board Meetings
  • Drive the topics and prepare the analytics to support Treasury’s position on those topics
  • Be an active participant in presenting the reporting and monitoring of the ALCO metrics and topics
  • Community Reinvestment Act
  • Aid Community Reinvestment Act (“CRA”) Officer with CRA related responsibilities
  • Source and analyze CRA qualified investments
  • Prepare presentations/reports for Board CRA committee
  • Record all CRA related activities
  • Adhere to Bank policies and procedures
  • Assist in regulatory examinations and internal/external audits as necessary
  • Assist and/or execute on various projects as requested by management
  • Monitor and report on compliance with legal lending limit constraints
182

Treasury Manager Resume Examples & Samples

  • Manage global compliance for all debt-related matters (credit agreement, bond indentures), including the completion of required calculations and related reporting
  • Conduct research for compliance matters, such as analysis around new transactions (e.g. acquisitions, dispositions, joint ventures, etc.)
  • Manage pension and 401(k) investment activities, which includes assisting the third-party investment advisor with a review of investment performance, rebalancing (pension investments) as necessary to fund benefit payments and to comply with Peabody’s investment policy, processing invoices, monitoring fees
  • Handle all equipment leasing matters including sourcing new leasing capital as necessary, processing documentation, monitoring and execution of lease buy outs, annual reporting, maintaining the Treasury Leasing System (TLS) database, and ensuring contractual lease payments are generated as necessary and paid by A/P
  • Create financial models in excel to manage compliance process and other special projects, such as forecasting lease or interest payments
  • Research and respond to related requests from internal and external audit
  • Assist with bank relationship management
  • Assist with corporate hedging activities
  • Prepare various presentations and board materials as needed
  • Monitor global cash collateral
  • Manage special projects
  • Undergraduate degree in Finance or Accounting, with MBA preferred
  • 3-5 years relevant experience
  • Effective communication skills including the ability to prepare concise and coherent financial analysis, make formal presentations to all levels of management and communicate well with outside parties
  • Detail-oriented with strong organizational skills, including the ability to prioritize various projects which may be in process simultaneously
  • Ability to collaborate well with various groups, including Law and Financial Reporting
183

Treasury Manager Resume Examples & Samples

  • Oversee daily management of cash and cash flow forecasting including investment of excess funds and daily treasury transactions
  • Develop and implement cash management operational strategies
  • Manage liquidity to meet operational needs including the settlement process
  • Manage financial risk as it relates to treasury operations; assess foreign exchange risk and develop mitigation strategies
  • Ensure regulatory compliance and maintain/review the liquidity risk management framework
  • Oversee the completion of treasury reporting; intercompany, liquidity, seed, deferred compensation and board reporting
  • Assist in the development and management of bank relationships
  • Ensure proper controls and processes are in the place for regulatory and audit compliance
  • Significant/demonstrable prior experience within a global treasury functions, preferably within financial services
  • Demonstrates a clear understanding of treasury processes, including banking operations
  • Administration and controls, capital management, foreign exchange and money markets
  • Good Excel and Oracle required
  • TMS - Working and or implementation experience
  • Ability to work well under daily time pressures
  • Take ownership of tasks
  • Excellent eye for detail
  • High levels of numeracy and accuracy
  • Treasury / Cash Management certificate beneficial
184

Treasury Manager, Pensions & Capital Markets Resume Examples & Samples

  • Monitor global defined benefit program asset controls and ensure suitable leveling of assets
  • Evaluate pension strategies and recommend appropriate changes to global investment policies, including asset allocation or active versus passive approaches
  • Directly negotiate global pension funding requirements and obtain necessary approvals from senior leadership
  • Analyze, recommend and support annual financial assumptions used for GAAP pension reporting, including expected return on assets and discount rates, and provide ongoing pension control audit support
  • Prepare annual pension scoping memo and assumption memo
  • Prepare quarterly US pension cash and investment reconciliation
  • Assist with PBGC reporting requirements
  • Evaluate investment options for U.S. 401(k) plan
  • Collaborate with and present to pension boards, investment committees and global pension oversight teams
  • Oversee and perform financial analysis and modeling, encouraging data-driven decision making
  • Coordinate analysis and execution of company’s return of capital program, including share repurchase activities and dividend strategy
  • Manage Treasury’s Sarbanes-Oxley documentation and testing program
  • Direct ad hoc projects and recommend/implement improvements to enhance best practices, working cross-functionally to include appropriate stakeholders and driving innovation
  • Assist in the preparation of recommendations for senior management and Board approval and direct or support the implementation of approved actions
  • Bachelor’s degree in business, accounting, finance or similar field
  • Minimum of 6 years of relevant experience in treasury, finance or similar role; at least 3 years of demonstrated experience with pension asset management
  • Solid analytical competence and robust financial modeling capability using Excel
  • Experience in medium-large size global organization
  • Ability to adapt to varied and changing responsibilities in a fast-paced, changing environment
  • Self-motivated with strong multitasking proficiency
  • Sound judgment and strong decision-making skills
  • Demonstrated experience managing project teams and working cross-functionally
185

Treasury Manager Resume Examples & Samples

  • Leveraging your prior financial modeling and forecasting experience to help manage and enhance the companies existing set of models utilized to project short and mid-term cash flow needs as well as to help determine future capital needs
  • Leverage your prior budgeting experience to manage the quarterly and annual budgets for the firm and its different business units; including expected and actual outcomes, with the ability to present finding to executive committee
  • Provide analytical and financial guidance on strategic decisions being discussed by the executive suite by monitoring financial performance and industry trends affecting the sector
186

Treasury Manager Resume Examples & Samples

  • 5 years or more related industry experience
  • Working knowledge of FX & Options
  • A comprehensive knowledge of capital markets and related products
  • Very strong interpersonal skills with a particular strength in dealing with a wide variety of individuals at various levels within and outside of the organization
  • A strong proficiency in Excel
  • Working knowledge of the banks personal and commercial products
  • Ability to communicate effectively
  • To be a self-starter, results oriented individual with the ability to think quickly
  • Ability to manage deadlines, multiple tasks, and adapt well to changing priorities
187

Senior Treasury Manager Resume Examples & Samples

  • Lead, Coach, Drive and Inspire the WHQ Cash & Banking team
  • Participate as a Global Cash & Banking leadership team member and contribute to the development & achievement of functional strategies
  • Develop talent within the team
  • Maintain strong relationships across all Global Treasury functions, Corporate functions, and NIKE geography leadership teams
  • Identify and implement optimal banking structures and liquidity solutions
  • Stay up to date on Treasury products, banking regulations, macroeconomic and political events
  • Support NIKE’s strategic imperatives and initiatives of other functions
  • Deliver value-add analytics & reporting and promote innovation to drive continuous process improvement initiatives across the team
  • Bachelor’s or Master’s degree in Finance, Accounting, Economics, or other business related field. MBA degree preferred
  • Over 5 years of Treasury/Corporate Finance experience at a publicly traded multinational company
  • Over 4 years leadership experience. Must be proficient in championing and embracing change, influencing others, contributing Treasury expertise and taking action with integrity
  • Retail experience is desirable
  • Advanced computer skills with an emphasis on SAP, Microsoft Excel, and PowerPoint
  • Strong work ethic and team player mentality
  • Significant experience directing the resolution of complex business issues
  • Comfortable working in ambiguous and quickly changing business environments
  • Highly skilled in developing high profile, influential and collaborative relationships with Senior Leadership across multiple functions, and geographies
  • Excellent problem solving, critical thinking and analytical skills with a keen ability to communicate complex concepts to wide and diverse audiences
  • Ability to handle multiple and competing priorities