Treasury Analyst

Stiles MachineryGrand Rapids, MichiganOn-siteFull-timeSenior, 5–8 yearsListed 2 days ago

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About this role

POSITION SUMMARY

This position is responsible for a wide variety of tasks and functions related to treasury activities.

ESSENTIAL FUNCTIONS

- Treasury month end closing tasks, reconciliations, and journal entries related to treasury activities

- Assist with assembling and reporting data for reporting to our international parent company in their format, and in answering questions from the parent company on financial results

- Responsible for hedging, foreign currency management/contracts and foreign exchange exposure/risk

- Banks and cash reconciliation

- Maintain relationship with banks, including communication and problem solving

- Responsible for intercompany transactions, invoicing, and reconciliations

- Monitor various balance sheet and income statement accounts for reasonableness and appropriateness, resolving any open issues found

- Update cash line sheet and ensure proper recording of all daily transactions

- Perform credit analysis

- Cash Management

- Bank Investments

- Monitor monthly cash flow and forecasting

- International payments and collections with different currencies

QUALIFICATIONS

- Bachelors Degree in Accounting, Business Administration or related field

- Minimum of five years of related experience in finance, accounting, or data analyst role

- Advanced Excel spreadsheet knowledge

- SAP knowledge, desirable

- FX exposure and management

SKILLS & ABILITIES

- Proficiency in MS Office suite

- Analytical thinking

- Strong written and verbal skills

- Ability to handle many details and maintain accurate records

- Ability to multi-task and demonstrate a high level of organizational skills

WORK ENVIRONMENT

- Typical office environment