Senior Treasury Analyst

Details of the offer

Job Description Job Description:The Senior Treasury Analyst is responsible for cash forecasting, liquidity projections, and treasury operations. The Analyst applies policies and procedures in the timely handling, processing, and depositing of cash receipts or disbursements. Manages unclaimed property for the organization and represents the Treasury team on various projects across the organization that involve credit cards and other banking functions. The Analyst is also responsible for custodian bank operations related to not only the short-term investment pools but also the long-term investment pools including, but not limited to, rebalancing within portfolios, capital call processing and related custodian and investment manager operations such as manager invoice payment.
Education Qualifications:Key Responsibilities: Manages daily cash process, including reviewing cash management transactions, resolving cash issues, and executing daily concentration of cash and borrowingMaintains account balances, performs cash forecasting, compiles cash reports and posts daily cash activitiesExecutes wire transfers and other funding necessary to balance the company's daily cash positionInitiates or approves ACH transfersExecutes cash movement for manager funding, portfolio rebalancing, capital calls and manager invoice payment as needed within the longer-term investment pools at custodian bankAssists with preparing regulatory reporting- FBAR, FATCA, Dodd Frank, SOX, etc.Manages the ordering and tracking of bank supplies for all areas of the organizationManages and files unclaimed property Educational Requirements: Bachelor's degree in business, healthcare administration, health information management or related field Required Qualifications: 5 years of experience in finance or accounting with cash management experience Preferred Qualifications: MBA or an advanced degree in business, management, or finance Certified Treasury ProfessionalTreasury workstation and bank software experience a plusStrong Excel capabilities including, but not limited to, creating, and using macros, pivot tables, VLOOKUPPrior banking or investment operations experienceExperience working directly in the treasury department for a large organization Job Location: Peerless Building

Shift Rotation: Day Rotation (United States of America)

Shift Start/End: 8:00am/5:00pm

Hours Per Pay Period: 80

Compensation Range: Union: FTE: 1

Weekends: Call Obligations: Sign On Bonus:


Nominal Salary: To be agreed

Source: Grabsjobs_Co

Job Function:

Requirements

Executive Risk And Cyber Consultant

Holmes Murphy has always believed that investing in our employees, the spaces in which they work, and the environment that we provide are all critical to our...


Holmes Murphy & Associates - Minnesota

Published 10 days ago

Tax Director, Private Wealth Tax

Tax Director, Private Wealth Tax Apply locations USA MN Minneapolis Restricted Payroll Tax - Minnesota USA MN Saint Paul time type Full time posted on Posted...


Baker Tilly - Minnesota

Published 12 days ago

Actuarial Analyst

The Position: We are looking for an Actuarial Analyst with a strong interest in contributing to a mission-driven environment, while working on meaningful pro...


Athena-Actuarial-Consulting - Minnesota

Published 13 days ago

Actuarial Manager

The Position:?We are looking for an Actuarial Manager with a strong interest in contributing to a mission-driven environment, while working on meaningful pro...


Athena-Actuarial-Consulting - Minnesota

Published 13 days ago

Built at: 2024-12-18T10:09:14.481Z