Analyst, Treasury Resume Samples

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LL
L Legros
Lucienne
Legros
128 Wiegand Fort
Houston
TX
+1 (555) 541 3478
128 Wiegand Fort
Houston
TX
Phone
p +1 (555) 541 3478
Experience Experience
Los Angeles, CA
Analyst Treasury
Los Angeles, CA
Hessel and Sons
Los Angeles, CA
Analyst Treasury
  • Creates daily cash and risk reports for senior management
  • Provide guidance to management of the affiliates on capital structure, foreign currency risk, dividend repatriation , investment and debt decisions
  • Maintaining the treasury workstation
  • Developing, implementing and reviewing operational controls, policies and procedures
  • Analyzes and manage optimal bank account balances based on forecasted operations
  • Assist in managing the relationship with key banking partners and financial institutions to monitor their service delivery
  • Professional working proficiency in Spanish
Boston, MA
Analyst, Treasury
Boston, MA
Powlowski, Reilly and Luettgen
Boston, MA
Analyst, Treasury
  • Identifies and recommends process improvements that significantly reduce workloads or improve quality for his/her assigned area(s) of responsibility
  • Assists in the opening and closing of bank accounts; responsible for reviewing idle bank accounts and makes recommendations to close
  • Creates and maintains reports and provides more complex analysis to internal and/or external stakeholders
  • Develops and prepares presentations to senior management, Board of Directors, and third-party organizations
  • Assistance with projects to improve efficiency for the group
  • Assistance with creation and maintenance of department process guides and workflows related to the above referenced responsibilities
  • Assist in daily cash management processes includes calculation of net cash position and assessment of investing/borrowing activity
present
Detroit, MI
Analyst, Treasury Americas
Detroit, MI
Klein, DuBuque and Goodwin
present
Detroit, MI
Analyst, Treasury Americas
present
  • Assist Assistant Treasurer with identification of global foreign exchange exposures
  • Provides source documentation and assistance to accounting staff to ensure proper posting of all cash transactions
  • Supports overall relationship management with commercial banks and other third party service providers
  • Provides world-class treasury services to all internal and external customers
  • Prepares daily cash position worksheets and daily cash report for all assigned international entities
  • Obtains all daily cash transaction data and balance reporting from all cash management banks
  • Ensures all treasury transactions are properly maintained in the treasury management system (FIS Integrity)
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
Southern Illinois University Carbondale
Bachelor’s Degree in Finance
Skills Skills
  • Knowledge of wire transfer systems, processes and practices
  • Transmit Accounts Payable ACH files to banks
  • Excellent analytical abilities, strong interpersonal skills, and an ability to work and communicate effectively with all levels of operations and senior management
  • Detailed oriented, independently motivated, strategic thinker
  • The ability to adapt to a rapidly changing business environment
  • The ability to work independently and operate effectively in a cross-functional environment
  • Demonstrated ability to prioritize work and manage time in a deadline-driven environment
  • Proficiency in Microsoft Office Suite (Word, Excel, Outlook)
  • Strong MS Office skills, particularly excel, word, and power point
  • Detail oriented, independently motivated, strategic thinker
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15 Analyst, Treasury resume templates

1

Analyst, Treasury Resume Examples & Samples

  • Enter high volume wire transfers daily in various banking systems, up to 200 per day during monthly peak times
  • Follow approval hierarchy required for cash movements
  • Relay confirmation of transfers to requestors
  • Complete required paperwork for opening and closing bank accounts for property level asset accounts
  • Complete general bank account maintenance (e.g. add/remove signers, users, services, name changes)
  • Maintain bank account database that houses account numbers, signers, online users and services
  • Prepare and distribute monthly bank analysis statements
  • Order special services for accounts (e.g. desktop deposit, cash vault service, lockbox)
  • Provide monthly/quarterly bank reports to manager as needed
  • Serves as liaison between bank and internal departments
  • Knowledge of wire transfer systems, processes and practices
  • General understanding of bank Master Service Agreements
  • Excellent analytical abilities, strong interpersonal skills, and an ability to work and communicate effectively with all levels of operations and senior management
  • Proficiency in Microsoft Office Suite (Word, Excel, Outlook)
2

Analyst, Treasury Resume Examples & Samples

  • Review, approve and prepare daily wires for upload into the treasury workstation
  • Serve as back up to daily wire transfer entry process in various banking systems
  • Process and update the Daily Cash Report and other various reports
  • Maintain bank account process that reports account and balance information
  • Various back office functions related to credit facilities
  • LP Distribution wire approval
  • Investment and redemption approval
  • All other duties assigned by manager
3

Analyst, Treasury & Market Services Resume Examples & Samples

  • To assist in the day to day Treasury Function
  • To execute transactions in the deposit and spot/Swaps FX markets
  • To field sales desks and external pricing requests in a timely and efficient manner
  • To ensure the highest level of service and information given when dealing with either internal or external counterparties
  • Verify and Sign-off daily/monthly profit for IS HK Branch
  • Provides support to TMS/I&TS management teams with various business planning at strategic development assignments, including preparing discussion materials and presentations
  • Participates in meetings and working groups globally
  • Co-ordinate activities with local regulator, internal and external auditors, Head office and other group entities
  • Financial management and local statutory reporting duties
  • Proficiency in Excel, Powerpoint, VBA preferable
  • Sound level of numeracy needed
  • Strong quantitative analysis and data management skills
  • Advance knowledge of capital markets, particularly with reference to credit and money markets highly preferable
4

Analyst, Treasury Resume Examples & Samples

  • Daily Cash management of Securitisation Trust bank accounts
  • Knowledge/Experience of Treasury Cash Management
  • Ability to work to deadlines, high level of accuracy and attention to detail
  • Experience of Bank on line portals for Payments processing
5

Analyst, Treasury Resume Examples & Samples

  • Enter high volume wire transfers daily in various banking systems
  • Daily cash positioning
  • Determine daily investment/redemption needs across multiple financial institutions
  • Daily tracking of investments/redemptions
  • Monitor account balances
  • Investigate wire transfer issues
  • Maintain bank accounts and wire transfer instructions
  • Record investment interest earned
  • Prepare various daily reports
  • Backup for automated wire import and investor wire receipts processes
  • Backup real estate property level wire transfer process
  • Backup other Treasury functions and cross train as needed
  • Familiarity with online banking systems
  • Detail oriented, independently motivated, strategic thinker
  • Minimum of 3-5 years of related work experience preferred
  • Proficiency in Word, Excel, Outlook (Microsoft Office Suite 2007)
6

Analyst Treasury Resume Examples & Samples

  • Managing the operations of the treasury department
  • Overseeing the daily operations of the U.S. cash management
  • Executing wire transfers
  • Managing daily borrowings
  • Maintaining the treasury workstation
  • Reporting all cash activity
  • Maintaining all aspects of the corporate debt portfolio
  • Supporting the treasurer on matters relating to capital markets activity
  • Improving U.S. cash forecasting accuracy
  • Processing scheduled interest and principal and interest rate swap payments
  • Preparing and processing debt compliance
  • Preparing annual interest expense budget and reforecast
  • Managing cash flow analysis
  • Reviewing monthly treasury report for accuracy and reasonableness
  • Leading the integration of the treasury functions of acquired companies
  • Developing, implementing and reviewing operational controls, policies and procedures
  • Cash management experience
  • Bachelor’s degree in accounting, finance or other business major
  • 3 to 5 years of experience in corporate treasury, finance, accounting or audit
  • Proficient in MS Excel and Powerpoint
  • Certified Treasury Professional is a plus
  • Good communication skills, both written and verbal
  • Self-starter and detail-oriented
7

Analyst, Treasury Resume Examples & Samples

  • Maintain investor wire transfer instructions in multiple banking systems
  • Manage bank account openings, closings and general account maintenance
  • Coordinate KYC and FATCA requests
  • Bank system user access setup and management
  • Strong organizational, communication and analytical skills
  • Proactive problem solving skills; ability to recommend and implement solutions
  • Ability to work and communicate effectively with all levels of management
  • Detail oriented, self-starter
  • Ability to multi-task while meeting strict daily deadlines in a fast-paced environment
  • Data entry
  • Ability to work both independently and as a part of a team
  • Knowledge of wire transfer systems, processes and practices a plus
8

Analyst Treasury Resume Examples & Samples

  • Perform daily cash management for the markets under your responsibility. Determine the cash position on a daily basis, analyze data to ascertain investment/borrowing requirements, and execute investment/borrowing decisions accordingly. Reconcile previous day actual versus plan and communicate discrepancies with banks and/or operating companies
  • Assist in managing the relationship with key banking partners and financial institutions to monitor their service delivery
  • Partner with the regional shared service initiatives and with the local finance organizations to implement the global cash management process according to the best practice model for the country’s financial and regulatory landscape
  • Contribute to the design of the global cash management process and procedures to represent particular regional attention points and to continuously make improvements to global processes
  • Ensure operation of internal controls in accordance with J&J Sarbanes Oxley procedures. Ensure timely updates of all required documentation (DCM, Hand-off, etc.) and execution of the testing schedule in accordance with the corporate Sarbanes Oxley timeline
  • Maintain excellent contact with different stakeholders in the Global Treasury Services Center and Corporate Treasury to ensure appropriate education and attention for regional differences, while keeping a focus on standardization
  • Partner with the business to develop meaningful insights into their needs that can be supported by treasury
  • Provide guidance to management of the affiliates on capital structure, foreign currency risk, dividend repatriation , investment and debt decisions
  • Cooperate closely with legal and tax counsel to understand the regulatory environment and the restrictions within each country and the relevant impact on existing & potential treasury solutions
  • Follow the financial environment to identify trends, opportunities and solutions for the markets under your responsibility
  • To be successful, you assure that you have the appropriate guidance, training and tools to perform your duties and responsibilities
  • A minimum of a Bachelor’s degree is required, preferably with a major in Accounting, Economics or Finance. Master’s/MBA degree preferred
  • This position requires a highly motivated individual with strong analytical skills, intellectual curiosity and problem solving skills
  • Must have strong communication, presentation, interpersonal, negotiating and influencing skills
  • Ability to establish work priorities, and adjust based on business needs
  • Confident to work in changing environments
  • Fluency in English is required. Any additional Asian language skills can be an advantage
9

Analyst, Treasury Services Resume Examples & Samples

  • Carries out the critical daily priorities within the group related to external wire payments, internal cash transfers and reconciliation activities
  • Ensures operational procedures are developed and documented, critical business risks are identified and controls are upheld
  • Investigates issues and ensures they are promptly resolved and appropriately escalated
  • Responds to inquiries and requests from internal business clients and banking partners, providing information and assistance in a timely and professional manner
  • Cross-trains with teammates on related roles within the Banking Relationships & Operations team
  • Identifies opportunities for business process improvements and assists with testing and implementation
  • Assists with co-ordination of information requests from internal and external audit
  • Assists with implementation of departmental projects and initiatives as require
10

Analyst, Treasury Resume Examples & Samples

  • Ability to prepare and review bank reconciliations
  • Initiate ACH and Wire transfer payments
  • Understanding of cash flow and forecasting models
  • Enter and manage letters of credit with suppliers
  • Manage borrowing base facilities
  • Monitor and maintain bank relationships, opening new accounts when needed, and evaluate new cash management tools for possible implementation
  • Daily recording of cash transactions to the general ledger
  • Manage the month and year-end close process for all cash related activities
  • Collaborate with our offices overseas concerning the cash management function
  • Assist in documenting treasury policies and procedures and implement treasury best practice solutions in all areas within the company
  • Monitor and manage the company's daily cash position, including inter-company transfers and ensure that cash requirements are accurately and timely forecasted and funded
  • Degree in Accounting or Finance
  • Minimum of 2-4 years related work experience
  • Demonstrates strong analytical and technical competency
  • Team player with ability to interact with all levels of the organization
  • Exhibit forward and innovative thinking to inside and outside influences as they affect our cash needs
  • Works well in a fast paced dynamic environment
  • Self-motivated and high personal standards for the quality of work
  • Ability to set priorities and excellent time management skills
  • Proficient in Excel, SAP and Citidirect experience a plus
11

Project Analyst, Treasury Resume Examples & Samples

  • CCAR whitepaper (PPNR NII documentation)
  • Five to eight years of experience in project management and leadership activities
  • Blended skills in analysis and communications, strong data analytical skills
  • Strong preference for CCAR/Dodd Frank Act and treasury experience
  • Must possess advanced business acumen and credibility to help business line(s) proactively identify and address changing workforce needs
  • Excellent written and verbal communication skills and the ability to communicate effectively across all levels of management
  • Ability to collaborate within the Treasury NII group and across Treasury to meet common goals with competing timelines
  • Project management experience and/or aptitude
12

Analyst, Treasury Resume Examples & Samples

  • Approval of domestic and international electronic payments
  • Prepare daily wire confirmations
  • Resolve general wire and banking issues
  • Assist with general Treasury day to day administrative responsibilities
13

Analyst, Treasury Resume Examples & Samples

  • Support medium to complex tasks with good understanding of cash flows from operation, investment and financing activities, ability to identify cash flow relevant accounting items and the time dimension of cash flows
  • Experience working with Microsoft Office, SAP, Lotus Notes
  • Ability to support treasury IT transformation projects
14

Analyst, Treasury Resume Examples & Samples

  • Expedite funding requests through the inter-departmental approval process
  • Process, update and disseminate the Daily Cash Report and other various reports
  • Manage corporate credit facility draws, repayments and interest due
  • Track and report investor wire receipts
  • Strong quantitative skills and demonstrated analytical and problem solving ability
  • High attention to detail and accountability in analytical assessments
  • Ability to thrive in a fast paced, rapidly changing work environment with many competing priorities
  • Self-starter with the ability to multi-task
  • Demonstrates professional maturity that represents the organizations image
15

Analyst Treasury Global Settlements Resume Examples & Samples

  • Together with the other team members, you ensure daily operational management of J&J settlement systems, i.e. the monitoring of all payment instructions, bank reconciliation and resolution of differences
  • You are the first point of contact for resolution of payment related queries
  • You business partner on a daily basis with all our stakeholders (being banks, shared service organizations and other treasury departments)
  • You are responsible for providing reporting to treasury accounting related to month- and quarter end closings
  • You act in compliance with Sarbanes Oxley, audit and other legal requirements
  • You play a key role in the further optimization of the J&J settlement systems, processes and procedures. You will participate in ad-hoc tasks and transactional projects e.g. supporting the roll-out of shared service settlements for new companies
  • You are responsible for building and maintaining the transactional settlements documentation
  • Because of our global mindset, we are open for international applicants
  • You are punctual
  • You take ownership and show accountability
  • You have excellent analytic skills, you are detail oriented and organized
  • You are eager to learn, highly motivated, hands-on and stress resistant
  • You act with integrity and are flexible
  • You like to take initiative, have a critical mindset and are driven to improve the payment processes
  • You are a good communicator and are fluent in English, both spoken and written
16

Analyst, Treasury Americas Resume Examples & Samples

  • Obtains all daily cash transaction data and balance reporting from all cash management banks
  • Reconciles cash position and corresponding activity to prior day projections
  • Prepares daily cash position worksheets and daily cash report for all assigned international entities
  • Processes all manual wire transfers in accordance with defined policies through electronic banking systems
  • Coordinates and processes payment proposals and customer direct debit proposals through SAP or other electronic banking systems
  • Compiles debt compliance reporting on a monthly and quarterly basis, including financial ratio calculations, borrowing base, etc
  • Ensures all treasury transactions are properly maintained in the treasury management system (FIS Integrity)
  • Assist Assistant Treasurer with identification of global foreign exchange exposures
  • Provides source documentation and assistance to accounting staff to ensure proper posting of all cash transactions
  • Supports the company’s SOX compliance initiatives
  • Provides world-class treasury services to all internal and external customers
  • Between 3-5 years of experience in Treasury or Finance related positions
  • ERP knowledge
  • Ability to learn and grow in a fast paced environment
  • Attention to detail and deadlines
  • Chemical industry background
  • SAP and TMS knowledge and experience
  • Strong Microsoft Office experience (mainly Excel)
17

Analyst, Treasury Resume Examples & Samples

  • Prepares, reviews, monitors, and recommends changes to department budget, including bank fees and variance explanations
  • Processes bank fee invoices for payment. Becomes an expert on the bank account analysis system (Weiland); creates, updates, and distributes various reports as needed by management
  • Assists in the negotiation of bank service agreements/contracts and pricing. Works with banking partners to resolve discrepancies. Provides complex bank fee analysis to support evaluation of service providers
  • Assists in the process of securing letters of credit to meet the needs of the business units
  • Provides user security administration of bank proprietary systems
  • Instructs banking partners on service modification needs and maintains valid authorized signers
  • Assists in organizing the agenda for service review meetings with our business unit and banking partners
  • Assists in the opening and closing of bank accounts; responsible for reviewing idle bank accounts and makes recommendations to close
  • Champions and enhances organizational initiatives by positively influencing and supporting change management and/or departmental/enterprise initiatives within assigned area(s) of responsibility
  • Serves as a resource to team members and applicable internal/external stakeholders on more complex assignments/projects for his/her assigned area(s) of responsibility
  • Identifies and recommends process improvements that significantly reduce workloads or improve quality for his/her assigned area(s) of responsibility
  • Performs more complex treasury activities for his/her area(s) of responsibility to support cash, liquidity management and/or statutory requirements
  • Creates and maintains reports and provides more complex analysis to internal and/or external stakeholders
  • Prepares ad hoc reports, analysis, and research as needed
  • Builds and maintains relationships with appropriate internal/external stakeholders
  • Serves as resource to team members and internal stakeholders regarding treasury practices and services
  • Identifies treasury issues/concerns and makes recommendations to yield more effective operations
  • 3 - 5+ Years of experience in Treasury and/or Finance that directly aligns with the specific responsibilities for this position
18

Analyst, Treasury Resume Examples & Samples

  • Prepares and sends daily market update emails to senior and executive management
  • Processes and maintains support schedules for invoices, trustee fees, and adhoc wires or fees
  • Prepares reports on bank relationships and bank diversity
  • Prepares and assists with managing liquidity and reporting related Commercial Paper issuances
  • Researches, analyzes, and reports on stock ownership/investor base and trading activity of the Company, its peers and competitors. Provides information for disclosure in various SEC filings
  • Compiles financial and other support data for management reports, presentations, analyst requests, IR Web site, and Investor Relations' materials. Provides information for disclosure in various SEC filings
  • Provides analytical support to the Corporate Treasury Department for all capital formation activities including bank and public debt financing and preparation of various internal and external financial reports and presentations
  • Develops and prepares presentations to senior management, Board of Directors, and third-party organizations
  • Maintains detailed spreadsheet models of debt and interest expense for use by the Corporate Treasury Department and senior management
  • Develops and maintains detailed operating models to analyze returns on invested capital, including analysis, summary, and reporting on findings
  • Supervises the administration of the Company's Letters of Credit including: issuance, renewals, fee calculations, payments, and monthly summaries
  • Monitors and reports on the Company's derivative transactions
  • Maintains daily cash forecast and reconciles with online Treasury management system. Maintains bank participation and business relationship analysis
  • Prepares derivative and financial instrument valuations based on market accepted models
19

Analyst Treasury Risk-fixed Term Resume Examples & Samples

  • Prepare daily Risk Management reports
  • Support the Risk Management team in the ongoing development, monitoring and enhancement of best practice in financial risk management
  • Support operational Risk Management activities, e.g. review of internal controls and SoX controls, fulfil compliance requirements and support internal audit activities
  • Participate in cross-functional projects and in Finance process design and improvement
20

Analyst Treasury Management Resume Examples & Samples

  • Assist clients with capital financing overall management
  • Assist clients in making treasury operation plan, supervision position management
  • Assist clients in risk assessment of important investment projects and operational activities
  • Assist clients in monitoring and forecasting cash flow, balancing debts and capital structure
  • Assist enterprises establishing a control system under reform of stated owned enterprise background
  • Establish financial management and control system
  • Establish treasury system
  • Assist clients in establishing and optimizing capital system platform
  • Strong analytical skills, hardworking and dedicated to provide customers with excellent service
  • Passion, good at thinking, strong logical ability, strong data analysis ability
  • Mature, proactive, with good team work spirit
21

Analyst, Treasury Resume Examples & Samples

  • Conduct the daily cash position-setting of Scotts and selected subsidiaries and initiate related funds transfers. Prepare and deliver associated notices of borrowing and redemption. Update the short-term cash forecast and other internal liquidity management reports as directed
  • Administer and monitor treasury department e-mail address (treasury.department@scotts.com) and coordinate response and action on items received there
  • Maintain bank accounts and banking services for Scotts and primary affiliates. For U.S. banking relationships, monitor and analyze fees charged by bank service providers. Serve as a primary Scotts contact for bank service providers regarding operational matters pertaining to Scotts and its affiliates
  • Maintain the bank account database of pertinent information regarding all bank accounts of Scotts and its affiliates worldwide such as delivery instructions, approved signers, etc
  • With supervision, execute spot currency transactions as directed on behalf of Scotts entities to meet company’s needs for payments in non-functional currencies
  • Maintain updated standard delivery instructions for wire transfers and other electronic funds transfers (EFTs) in the relevant payment systems. Initiate EFTs and other miscellaneous payments as directed
  • For miscellaneous payments received by Scotts U.S. locations, facilitate the timely and accurate processing of such items. For paper payments, direct recipients to forward payments by mail to general depository lockbox with payment application instructions suitable for imaging
  • Serve as a user and/or secondary security administrator for the treasury-related transaction processing and reporting systems used by Scotts and its affiliates. These include, but are not limited to
  • Bachelor’s degree or equivalent experience required, preferably with concentration in accounting or finance
  • Certified Treasury Professional (CTP) designation is desirable
  • Prior work experience in a financial function is desirable, preferably including exposure to cash management and related accounting functions
  • Familiarity with US Generally Accepted Accounting Principles (GAAP)
  • Organized and detail-oriented, with the ability to work independently and as part of a team
  • Ability to handle and prioritize workload with variable volume
  • Good oral, written, and interpersonal communication skills
  • Must have demonstrable proficiency in PC applications, particularly Microsoft Excel
  • Knowledge of SAP is desirable
  • Financial analysis skills are desirable
22

Analyst, Treasury Resume Examples & Samples

  • Assist in daily cash management processes includes calculation of net cash position and assessment of investing/borrowing activity
  • Assist in preparing weekly Treasury dashboard materials
  • Prepare and initiate wire transfers, ensuring proper authorizations and availability
  • Deposit in-house vendor checks and maintain check deposit file
  • Maintain debt and interest schedules for quarter end internal and external reporting
  • Analyze bank fees, recommend cost savings, maintain bank accounts, and bank account documentation
  • Prepare Stop payments and decision Positive Pay check exceptions on an as needed basis
  • Prepare the monthly borrowing base submissions and related reporting items, questions, field exams and appraisals
  • Solid organizational skills and a self-starter with entrepreneurial spirit
  • Proficiency in use of MS Office (Word, Excel, Outlook)
  • Excellent written, verbal, and interpersonal skills to effectively work with individuals both inside and outside of the company
  • Successful individual will have strong team skills that will enable them to interact with the entire organization
  • Knowledge of JD Edwards and SAP a plus
23

Analyst Treasury Resume Examples & Samples

  • Drives expansion of international banking footprint and optimal account structures to support JetBlue’s growth
  • Analyzes and manage optimal bank account balances based on forecasted operations
  • Creates daily cash and risk reports for senior management
  • Executes domestic and international disbursements including wires
  • Recommends and evaluates investment opportunities
  • Examines foreign exchange exposure and conducts FX trades to fund the operation
  • Assist with short and long term cash flow forecasting
  • Ensures internal and external debt covenant and audit compliance of all Treasury and Corporate Finance policies
  • Maintains and manages internal customer and external banking relationships
  • Partners with accounts payable, accounting, audit and other teams to improve processes and facilitate implementation
  • Analyzes the companies optimal capital structure to support growth
  • Bachelor’s Degree; Finance, Business, Accounting or a related discipline
  • One (1) year finance experience: Financial Planning & Analysis, Treasury, cash management or related experience
  • Professional working proficiency in Spanish
  • Proficient with the Microsoft Office suite
  • Strong communication, organizational and analytical skills
  • Ability to multitask and prioritize responsibilities and projects
  • Detail oriented and the ability to thrive in a fast paced environment
24

Analyst, Treasury Resume Examples & Samples

  • Responsible for bank account administration, including opening, closing, and amending accounts
  • Communicate all staffing updates/changes to various banking partners
  • Liaise with our legal team to ensure all banking related legal documents are kept up to date
  • Manage the setup of approved users' roles, functions and account access in the financial institution online systems
  • Facilitate business unit inquiries on treasury related transactions
  • Complete monthly intercompany loans and cash sweep reports
  • Collaborate and cross-train with other team members
  • Assist with ad hoc projects, and identify and develop continuous business improvement opportunities
  • Prepare monthly treasury reporting for internal stakeholders
  • Monitor and analyze bank charges and identify opportunities to reduce costs
  • Experience working in a bank or financial institute is an asset
  • Registered in a CFA, CPA or CTP program preferred
  • Post-secondary education, preferably in finance/accounting or a related field
  • Strong MS Office skills, particularly excel, word, and power point
  • Previous experience with SAP is preferred
  • You are a self-starter and thrive working in a fast-paced environment
  • You have exceptional communication skills both written and verbal
25

Analyst, Treasury Resume Examples & Samples

  • Conduct daily cash management activities for ANDE (including subsidiaries), four ethanol entities, and NuRail, including the daily reconciliation process, electronic confirmations, daily cash position calculation, cash books filing, initiation/processing of electronic transactions, etc. in a secure, prompt and accurate manner in compliance with written procedures. Work daily with other business groups and service departments (Accounting, AR, AP, Tax) to research / resolve questions and issues
  • Complete the month end accounting process (within 2 business days after month end) by generating reports, summarizing details (research and review information for accuracy and completeness) and preparing journal entries (ANDE and ethanol entities). (This includes understanding various ledger systems and bank reports and researching variances.) Prepare monthly reconcilements of debt, investment and derivatives activity. Complete monthly covenant reporting for ethanol entities in a timely and accurate manner
  • Reconcile all ANDE and ethanol-related transactions and bank reconciliation issues monthly to ensure accuracy and a timely resolution. This requires knowledge of the Company’s various ledger systems and working with Corporate accounting, A/R, A/P, and business groups to identify variances and recommend solution
  • FX transactions – hedging (place forward windows with banks), prepare corporate position report on weekly/monthly basis, initiate and confirm daily wires, maintain communication with Grain Group regarding wire and hedging activity, research variances on account reconcilements. Track balances in foreign bank accounts and prepare annual FBAR report/filing
  • Support ATSF with upgrades to treasury workstation database (AG-ICMS) and streamline processes Maintain EFT database, assist users with training and EFT system issues, administer & update division Approver roles
  • Track all cash management related expenses. Monitor volumes at various banks to avail all possible volume related discounts. Track and analyze performance metrics to help improve cash management efficiency
  • Maintain an update-to-date list of all bank accounts, signers and services. Serve as point of contact with Financial Accountants to provide backup detail for their bank reconciliations, to administer new accounts, research bank account/gl account issues, monitor accounts with little or no activity to close accounts no longer needed. (includes maintaining account documentation and updating new forms; place orders for gift cards)
  • Trace and analyze merchant processing related expenses (credit cards) Assist with administration of credit card services, including new equipment purchase and retiring of old equipment
  • Support the ATSF as needed with the communication of all changes to banking and/or cash-related issues as well as education by preparing support documents and generating electronic communications to the various business units throughout the organization (also includes providing educational sessions to business groups)
  • Maintain open and candid lines of communication with the ATSF and VPFT and discharge duties in the spirit of the “Statement of Principles”
  • Other duties as assigned, including serving as a back-up to the ATSF, cross-training with Treasury Analyst to ATLF, provide support to the ATLF (including preparation of lease buy analysis), back-up for the sale of debenture bonds, and special projects to support the operating groups
26

Analyst, Treasury Resume Examples & Samples

  • Monitor and reconcile daily cash positions
  • Execute daily fund movement transactions
  • Transmit Accounts Payable ACH files to banks
  • Prepare monthly review of bank fees and resolve discrepancies as needed
  • Downloand monthly Clearwater investment reports
  • Reconcile Clearwater reports to broker & custodian statements
  • Create custom reports in Clearwater system
  • Prepare monthly journal entries for investment activity for upload into JD Edwards ERP system
  • Download bank and investment account statements on a monthly basis
  • Prepare monthly and quarterly cash and investment reports for GAAP and STAT reporting purposes
  • Reconcile balance sheet accounts on a monthly basis
  • Prepare documentation for internal,external and DOI auditors
  • Coordinate bank account administration including opening and closing of accounts and management of banking services associated with the accounts
27

Analyst, Treasury Resume Examples & Samples

  • Establishing daily cash positions
  • Monitoring of bank account balances
  • Calculation of values to be transferred/invested/borrowed
  • Initiation of internal/external loans/deposits confirmation and settlement
  • Initiation of foreign exchange confirmation and settlement
  • General query resolution: value date issues, non-receipt of funds, unexpected receipts, maintenance of tracking logs
  • Assist with month-end tasks and month-end reporting
  • Manage and monitor bank accounts & balances and ensure problem resolution
  • Manage and administrate settlement instructions and ensure business controls
  • Administrate, monitor and validate bank fees and interest charges
  • Review monthly bank analysis fees/commissions for accuracy and efficient use of services
  • Assistance with preparing required information package to comply with KYC requirements
  • Assistance with bank account opening, maintenance and closing
  • Assistance with execution of confirmations for market deals (FX and/or MM, reporting in Emir)
  • Assistance with documentation of treasury processes (operating process user guide and system process user guide)
  • Assistance with creation and maintenance of department process guides and workflows related to the above referenced responsibilities
  • Assistance with projects to improve efficiency for the group
  • Back-up for segregation of duty processes
  • Participates in the capturing data for statistical analysis and decision support
  • Bachelor degree or equivalent diploma
  • Strong analytical, planning, project management and communication skills
  • Strong system and internet aptitude
  • Finance or a combination of finance, banking, and knowledge management related working experience
  • Ability to address issues at both strategic and tactical levels
  • Demonstrated ability to excite plans and achieve positive results on time in a fast-paced global virtual organization
  • Self-starter and can-do-attitude
  • Ability to manage controversial issues and obtain alignment
  • Management consulting firm or internal consulting experiences a plus
  • Treasury or banking experiences a plus
  • Computer or related background a must
  • Compliance experience, internal/ external audit experiences, or process enhancements experiences a plus