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Treasury Analyst

Employer
Delrin
Location
Wilmington, Delaware, United States
Closing date
Nov 2, 2024
View more categoriesView less categories
Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
Job DescriptionJob Description
Delrin® Job Description
Treasury Analyst

Overview:
Delrin® is an industry leading premium polymer business grounded in strong innovation, Delrin® is a category creator with a longstanding reputation for quality, reliable supply, and superior product performance. The iconic Delrin® brand, coupled with proprietary technology and deep application expertise, make us a leader in the High-End Engineering Polymer Market.

Delrin® is an engineering plastic/polymer used by our customers for many crucial components in highly engineered and technical applications, largely replacing metal with more efficient and cost-effective solutions that last as long. We have a strong focus on Safety and sustainability and produce a portion of our products from 100% bio feedstocks.

As a newly independent business, Delrin® enjoys exciting growth prospects from mobility, material handling, healthcare, and consumer applications. We are excited to be able to operate as a smaller company that is more entrepreneurial in nature, and where growing this brand is the top priority. We offer a compelling environment for motivated talent to help shape the future of the business, while growing your career with us.
The role:
This position is responsible for global liquidity management & cash forecast, including managing daily cash positions & reconciliations, oversee treasury related accounting, interact with bank partners & insurance companies.
Key Responsibilities:
• Prepare analysis and lead weekly meetings with key stakeholders to ensure sufficient liquidity in legal entities.
• Perform daily cash analysis, reconciliations & forecasting. Proactively manage and improve cash forecasting, including interaction with Delrin internal organizations to collect & understand short-term funds requirements.
• Execute cash movements for all legal entities to meet short-term cash needs. Interface with organizations confirming funds availability.
• Manage Intercompany (ICO) Loan portfolio and related interest calculation, accounting and settlement. Prepare ICO payment proposals.
• Support and work closely with Accounts Payable and Accounts Receivable teams.
• Serve as primary contact for banking partners, responsible for maintaining banking related documentation, accounts & online banking system maintenance. Maintain letter of credit portfolio.
• Maintain insurance portfolio, interacting with insurance companies.
• Lead or support special projects as required, such as ERP/Treasury Management System implementation.

Qualifications and skills:
• 5+ years of Finance experience, including 2+ years of related treasury experience.
• Strong understanding of cash management concepts, including cash flow forecasting & liquidity management.
• Strong analytical, interpersonal and communication skills.
• Proficient in use of excel, treasury management systems and SAP financial modules.
• Initiative and proactivity. Problem solver - organized, thorough, attention to detail.
• Fast learner, flexibility, and capability to work under pressure.

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