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Treasury Manager

Employer
firstPRO 360
Location
Atlanta, Georgia, United States
Closing date
Nov 3, 2024
View more categoriesView less categories
Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Our client is a market leader in their niche and they wish to hire a Treasury Manager that will be responsible for the Company's treasury and cash management.

Essential duties will include: -

· Maintain integrity and oversee cash management and control systems, including cash receipts, disbursements, inter-company cash borrowing/lending, short term investments, and debt reporting.

· Work with corporate departments, to enhance the company's cash flow performance, while meeting compliance, legal, tax and group policy/regulations.

· Coordinate due diligence requests with bank representatives, counsel and underwriters for external funding.

· Prepare rolling cash forecast, perform variance analysis and develop executive level commentary and presentations.

· Manage daily cash activities including initiating borrowing/funding, payment requests, journal entries, and updating cash forecasts.

· Play a key pro-active role in the benchmarking transition project.

· Responsible for debt related reconciliations

· Track, forecast and provide analysis on interest rates. Maintain interest rate tables within systems.

· Maintain relationships with banking and financial institutions.

· Assist with ERP implementation and serve as the SME for treasury department.

Job Requirements; -

· Bachelors' Degree in Accounting or Finance or relevant discipline

· CTP or CPA is a big plus

· 5+ years cash management and Treasury expertise

· Experience with debt securitization is a plus

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