Treasury Analyst Resume Samples

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NW
N Willms
Nicola
Willms
27929 Jaylin Square
Philadelphia
PA
+1 (555) 972 4999
27929 Jaylin Square
Philadelphia
PA
Phone
p +1 (555) 972 4999
Experience Experience
Chicago, IL
Treasury Analyst
Chicago, IL
Zieme-Bruen
Chicago, IL
Treasury Analyst
  • Assist in working with groups outside of Treasury to provide necessary forecasting data to improve the overall forecast
  • Document works performed and assist in the development/maintenance of departmental procedures
  • Document work performed and assists in the development/maintenance of departmental procedures
  • Assist Cash Manager with the development of “best” cash management strategies and practices for the whole organization
  • Assist in providing working capital and related analysis for senior management
  • Work closely with the CCAR team to ensure Capital Management's work-stream is performing in line with overall program milestones and U.S. implementation plan
  • Provides analysis related to balance sheet, NII and risk management, working with management on complex assignments
Dallas, TX
Regional Treasury Analyst
Dallas, TX
Bernier and Sons
Dallas, TX
Regional Treasury Analyst
  • Work on the EMEA Regional Treasury team who are responsible for liquidity, funding risk monitoring and management
  • Great knowledge in cash management and FX risk management products in both Hong Kong and other Asia countries
  • Assist with a wide range of liquidity and funding risk management related topics
  • Make recommend to management on different banking products
  • Work proactively with different countries to implement funding solution offered by banks
  • Produce accurate and timely annual, quarterly, monthly & daily management reports
  • Ensure cash and currency risk management strategies are in compliance with internal and external regulations
present
San Francisco, CA
Lead Treasury Analyst
San Francisco, CA
Jaskolski, Kunze and Legros
present
San Francisco, CA
Lead Treasury Analyst
present
  • Contribute to enhancement of liquidity risk management process including build out of existing process in QRM and enhancement to internal stress testing
  • Daily cash / revolver positioning and reporting
  • Manage bank accounts (controls including SOX)
  • Responsible for the primary risk assessment tools for liquidity, the LAP Coverage Months calculation, Parent Cash flow forecast, LCR/NSFR, Erosion Analysis, liquidity dashboard and prepares monthly liquidity assessment for TSC / ALCO
  • Produce and present ad hoc liquidity projects or analytics (i.e. peer analysis, cost of funds analysis, balance sheet strategy, and diversification analysis) to working group and TSC
  • Support the model validation process through first line validation of models and providing responses to 2nd line of defense issues
  • Develop documentation of processes, policies and procedures that clearly and comprehensively explain Key's capital adequacy process to various constituencies including regulators, auditors, management and new internal participants
Education Education
Bachelor’s Degree in Finance
Bachelor’s Degree in Finance
University of Virginia
Bachelor’s Degree in Finance
Skills Skills
  • 5 years strong accounting knowledge/skills
  • Quick learner with ability to adapt to unique and changing circumstances
  • Strong communication skills with ability to effectively convey messages to internal and external counterparts around the world
  • Strong organizational skills with ability to manage high volumes of transactions and varied assignments
  • Strong analytical skills and attention to detail
  • Excellent attention to detail and organized with a solid work ethic
  • Strong customer services focus with an ability to work independently and as part of a team
  • Good interpersonal skills with an ability to communicate effectively (both written and oral) at all levels
  • Good attention to detail and accuracy
  • Excellent eye for detail
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15 Treasury Analyst resume templates

1

Cib-acce Treasury, Treasury Analyst VP Resume Examples & Samples

  • Monitoring of collateral concentration limits for covering margin exposure
  • Monitoring of cross currency margin risk
  • Management of regulatory residual interest liquidity buffers
  • Management of CCP & Bank liquidity buffers
  • Defining and ensuring adherence to Treasury investment & eligible collateral policies
  • Responding to both audit and regulatory requests
  • Defining new investment and funding structures
  • Identifying and driving revenue initiatives
  • Consistently review control processes to enhance control environment
  • Partnership with the following key functional areas
  • Client pricing and legal solutions – Sales and Legal
  • Regulatory adherence – Legal, Compliance, Operations and Product
  • New business & automation – Operations, Technology and Product
  • Automation – Technology and Product
  • Ability to confidently interact with senior management
  • Strong analytical skills - ability to challenge existing processes & where appropriate drive and implement change
  • Proven ability to manage and contribute to increased revenue
  • Understanding of Treasury Management process for a Clearing Broker
  • Understanding of regional client asset protection rules e.g. FCA and CFTC
  • Understanding of client interest pricing and ability to identify new revenue opportunities
  • Strong analytical skill set (Experience with Qlikview analytics tools desirable)
  • Understanding of forthcoming regulatory changes and how they are expected to impact the Treasury management process
  • Strong system skills - All MS Office applications, GMI, Qlikview
2

Treasury Analyst Resume Examples & Samples

  • Manage daily corporate-related cash position to ensure liquidity
  • Administer bank account operations
  • Assist in preparing cash forecasts to support financing decision-making
  • Bank account administration (new account opening, bank fee analysis and relationship management)
  • Execution of foreign currency trades
  • Journal entry preparation and wire transfer initiation
  • Analyze cash positions
  • Participate in various treasury projects as necessary, including writing and updating desk procedures
  • Monitor foreign exchange exposure and formulate risk management strategies
  • Produce periodic management reports on treasury operation
  • Bachelor’s degree in Finance, Accounting, Business or related field required
  • 5 years strong accounting knowledge/skills
  • Strong MS Excel and Access experience
  • Familiarity working with banking systems and initiating bank transactions: ACH, Wires, etc
  • Experience generating reports
  • Ability to work collaboratively within a small team environment
  • Ability to prioritize and multi-task in a deadline-oriented environment
3

Treasury Analyst Resume Examples & Samples

  • Ensure the daily shareholder activity received from the various Transfer Agent systems is received accurately into the TOAR system
  • Accurately complete all manual imports as required
  • Ensure that all Transfer Agent system of record information is transmitted to downstream clients completely and accurately
  • Initiate money movements for shareholder activity between operational and fund custodial bank accounts
  • Initiate money movements between operational and corporate accounts for weekly commission payments
  • Produce and distribute reports and other information to downstream clients accurately and by the established deadline
  • Compile and complete holdover reporting as received from the Transfer Agent accurately and by the established deadline
  • Ensure valid controls are in place by performing reconciliations between the Transfer Agent systems of record and downstream systems of record, and identify and resolve all out of balances
  • Ensure that all hard copy and soft copy back up is complete and filed correctly
  • Perform monthly and quarterly ANA 12b1 reconciliation to ensure that assets on the transfer agent system are consistent with assets on OneTIS
  • Maintain current procedures
  • Bachelor’s degree or equivalent experience in Business, Accounting or Finance preferred
  • 1 – 3 years of accounting experience in automated environment
  • Personal computer applications (Microsoft Office)
  • Good excel skills
4

Treasury Analyst Resume Examples & Samples

  • MBA strongly preferred, BA/BS in a related field of study
  • Certified Treasury Professional / Certified Cash Manager designation preferred
  • 10+ years of prior experience in a senior Treasury role is preferable. Consumer financial services industry experience. A solid understanding of consumer finance (personal loans) and/or mortgage business process is desirable
  • Proven experience with securitizations
  • Significant experience in working with external constituents, including ratings agencies, analysts and stakeholders
  • Proven ability to work as part of a team of senior business leaders to advance the overall objectives of the organization
  • Must possess technical know-how and analytical skills, coupled with an understanding of how the Treasury function supports the generation of sustainable, profitable growth
  • Strong interest in mentoring team members and developing future talent. Exhibit a high propensity to lead, to set directions, to align the team and to influence across the business and the technology operation
  • Able to manage multiple concurrent initiatives
  • Strong written, spoken and presentation communications
  • High energy and a passion for quality products and processes
  • Bilingual preferred (English and French)
  • Outstanding strategic management skills: a proven ability to formulate strategies and plans, and to execute against objectives
  • P&L and results orientation: a practical approach to strategy formulation and implementation which will drive rapid growth in profitability
  • People Development: Recruit, develop and retain the talent needed to achieve current and future organizational goals
  • Collaboration: the ability to work effectively with executives across the organization; a strong team orientation. Ability to manage expectations and maintain key relationships with internal and external partners
  • Exceptional interpersonal, communication, and influence skills: the ability to command respect, advocate with conviction, and clearly communicate in a wide range of settings. Ability to present information to senior level audiences in simple, logical business terms
  • Strong influence/collaboration/partnership skills
5

Business Treasury Analyst Resume Examples & Samples

  • Fluent English language skills
  • 5+ years’ experience in a major international banking environment
  • Treasury and/or Finance experience is desirable
  • A good knowledge of liquidity and balance sheet management practices would be desirable
  • Good commnucation skills
  • Ability to prioritize
  • Accuracy and Control focus
6

Business Treasury Analyst Resume Examples & Samples

  • Oversight of the internal and external liquidity ratios produced in Mumbai through daily/weekly/monthly calls
  • Ensure that reconciliation and controls between Liquidity regulatory and other regulatory reporting is documented and understood
  • Continuously improve the reporting process and support the implementation of new requirements and correction of encountered issues
  • Work with the Treasury FRO to Implement new assumptions where appropriate
  • To perform control deep dives across all Corporate Treasury processes, to identify control deficiencies, control best practises and consistency of approach
  • To prepare and establish control guidelines
  • English language at proficient level both written and oral
  • 3-5 years experience in a major international banking environment
  • Prior Treasury and/or Finance experience
  • Proactive, ability to work on own initiative
  • Meeting objectives in a defined time frame, and delivering results
7

Treasury Analyst Resume Examples & Samples

  • Oversee global cash liquidity forecasting process
  • Support global bank account administration process for all of the NBCU – America’s businesses
  • Support the operations of America’s Cash Pool
  • Facilitate daily electronic funds transfer approval process
  • Act as Treasury Administrator for all the Bank Proprietary platforms
  • Support new account implementations and assist with Treasury integration projects
  • Assist in the Treasury Accounting process
  • Ensure timely and accurate settlement of FX trades; including proper delivery instructions
  • Investigate and resolve trade and settlement discrepancies when necessary
  • Assist with various FX accounting related requirements (e.g., measurement and reporting of fair value, testing hedge effectiveness, setting operating exchange rates)
  • Treasury Special Projects / Analysis
  • Coordinate with Comcast treasury on cash forecasting and new initiatives
  • Partner with NBCU Tax to complete annual FBAR filings
  • Bachelor’s degree in Finance, Accounting or related field
  • Minimum of 2 year of experience in Treasury operations preferred
  • Working knowledge of US banking relating to Bank documentations, Fed. Wires, ACH, ACH Debit blocks/filter
  • Working knowledge of international cash settlement process & SWIFT
  • Experience working with financial models, preferably predictive/forecasting
  • Microsoft Excel and Powerpoint skills
8

Treasury Analyst Resume Examples & Samples

  • Updates projections daily and works with Treasury Director to update the forecast for monthly release to senior management
  • Perpares the daily cash position
  • Month end accounting entries include: Accruals for bond interest, ABL fees, and all supporting schedules
  • Assists with implementation of disaster recovery and business continuity procedures
  • Administers positive pay and works with AP to resolve issues/open items
  • Initiates wire transfers, OT/LC funding and reporting, FX payments, ACH(s)/Tax payments etc
  • Maintains EBS/SAP treasury software data including BAI file management
  • Provides data for monthly journal entries relating to cash management activity
  • Performs daily research on banking issues, as well as disbursement and receipt inquiries
  • Monitors revolving lines of credit and renewals of debt loans, as well as, investment balances and rates
  • Prepares monthly retail metrics, trade, bank fee, etc. for department and assists with the preparation of treasury monthly reporting
  • Maintain and updates treasury department policies and procedures (ie. disaster recovery, wire procedures, SOX, etc.) at the direction of the Treasury Director
  • Maintain all treasury manuals (ie. banking diagrams, signature cards, legal docs, etc.)
  • Analyzes corporate and retail bank fees. Maintains bank fee software to manages variances and works with banks to resolve bank fee issues/disputes
  • Submits FX contracts and maintains all related schedules and required documents
  • Assist Director with trade financing projects by maintaining detailed payment information and multiple forecasting models
  • Performs daily electronic check deposit
  • Assists department with special project
  • Utilizes Bloomberg to extract key indicators for daily Senior Management Reporting
  • BS in accounting/finance or related field is required
  • Understanding of accounting, finance, and treasury departments
  • Experience working with Domestic & International banking
  • 1 to 3 years of relevant finance experience
  • Treasury Work Station is a plus
  • SAP is a plus
  • Banking Software experience
  • Ability to speak clearly and clearly see a computer monitor
  • Ability to lift up to 15lbs
9

Junior Treasury Analyst Resume Examples & Samples

  • Preparing input data used for the calculation of the models, run the engines and produce various reports and MIS
  • Analyzing balance sheet as well as liquidity and funding position
  • Analyzing the models results in various dimensions
  • Developing and improving existing models
  • Testing of the calculation engines when new functionalities are implemented by Group Technology
  • Maintaining documentation of the processes
10

Treasury Analyst Resume Examples & Samples

  • Maintain and update management reports such as funding and liquidity positions, maturity profiles, CFP metrics, ALCO etc. (30%)
  • Support funding plan development and cost of funds forecast process. (20%)
  • Support execution of funding and hedging transactions. (10%)
  • Support the integration of QRM in market risk management processes. (10%)
  • Support Treasury initiatives such as stress testing, transfer pricing, ALM modeling, DF165 etc. as required (15%)
  • Support the management of a diverse funding portfolio which includes brokered and structured CDs, retail deposits, securitization, deposit sweep product and inter-company funding. (10%)
  • Support the fulfilment of audit and regulatory requests. (5%)
11

Treasury Analyst Resume Examples & Samples

  • Analyze and identify the trend, if any, from issues/exceptions
  • 1 - 3 years of accounting experience in automated environment
  • Knowledge of banking operations and mutual fund industry helpful
12

Treasury Analyst Resume Examples & Samples

  • Maintain and monitor cash level
  • Apply credit facility and monitor its utilization
  • Prepare cashflow forecast and planning
  • Bank guarantee management
  • Apply and review Letter of Credit
13

Treasury Analyst Resume Examples & Samples

  • Business Partner with the Finance Committee to establish and execute the Group's long term funding plan - this includes; debt capital market issues (Euro and Sterling); S144A markets and private placements
  • Identify the best funding method to deliver the Group's funding strategy
  • Business Partner with the Legal team to negotiate financing terms and conditions
  • Secure competitive sources of long term funding and debt facilities
  • Work closely with Investor Relations to optimise credit rating and manage the relationship with fixed income investors
  • Regularly meet with commercial and investment banks
  • Understanding the impact of credit rating agency changes, methodologies etc
  • Build, develop and maintain financial models in order to effectively analyse data for debt pricing across markets, debt investors and credit rating agency metrics
  • 2:1 or above in Maths, Science or Economics degree
  • A recognised Accounting, Treasury or Banking qualification
  • Prior experience in a Treasury Analyst, Long Term Funding or Corporate Treasury role
  • Ability to demonstrate an understanding of macro-economic factors
14

Treasury Analyst Fx Resume Examples & Samples

  • 1-5 years of banking, brokerage or commodities, cash management, and/or treasury experience
  • Broad knowledge of cash management in a corporate treasury environment and understand the fixed and equity markets
  • Bachelor's degree in Finance or Economics
  • Recent college graduate or up to 4 years prior experience in a corporate treasury group or back office FX group
  • Strong problem solving and demonstrated analytical skills
  • Ability to prioritize a heavy workload under the pressure of completing assignments within time constraints
  • Excellent interpersonal skills and ability to work effectively in a team environment
  • Excellent computer skills and experience using Microsoft Excel and Word and the ability to use these tools to present data clearly and concisely
15

Treasury Analyst Resume Examples & Samples

  • Manage Daily P&L reporting and subsequent Month End close
  • Gather requirements and assist in implementation of both new and enhanced systems
  • Participate in user acceptance testing on new products & initiatives
  • Deliver timely and accurate daily P&L and balance sheet reporting for Treasury
  • Monitor P&L and balance sheet movements so that they are fully understood, explained, and reported
  • Collaborate with Operations, Financial Control, and IT groups to ensure accuracy of downstream processes, including accounting and control responsibilities
  • 2+ years experience in the Financial Services industry
  • 2+ years of Treasury/Fixed Income Product experience (preferable)
  • CPA
  • Inter-Desk Funding
  • Excellent Excel, Word & PPT skills
16

Treasury Analyst Resume Examples & Samples

  • Bachelor’s in finance or economics
  • 2-4 years of experience in a corporate treasury or back office FX group
  • Understand corporate cash management, fixed and equity markets
17

Treasury Analyst Resume Examples & Samples

  • Education/Experience: BS in Accounting/Finance/Mathematics (other business or quantitative degrees may be considered)
  • Minimum two years of experience in financial services industry, preferably in treasury, counter-party credit, collateral, risk, or operations area supporting derivatives, futures, repo and securities trading
  • Familiarity with bi-lateral derivatives, cleared OTC derivatives, futures, repo, and securities products, as well as counter-party risk embedded in each
  • Understanding of financial risk concepts (VaR, dv01/cs01, etc.) and counter-party credit risk measurement methodologies
18

Treasury Analyst Resume Examples & Samples

  • Process money transfers for shareholder payments for liquidations / dividends, dealer commissions transactions and Fund's cash payments involving file transfers via electronic banking interfaces, respecting banking partner cut-off times, control and quality standards
  • Execute manual transfer instructions using banking partner proprietary software for ad-hoc requests, adjustments, internal account transfers, compensation requests, custody instructions received from other FTS entities
  • Execute foreign exchange transactions using banking partner proprietary software
  • Bachelor’s degree in Accounting, Finance or Business related preferred
  • Experience in cash settlement back office operations (mutual fund industry preferred, but not essential. Other sectors will be considered - financial or private)
  • Ability to work with a small team within a global/international environment
  • Good with figures
  • Very good organizational skills
  • Excellent command of the English language both written and spoken. Knowledge of an additional language would be an advantage
  • Experience with banking software – JP Morgan Chase applications would be a plus
19

Risk Treasury Analyst Resume Examples & Samples

  • You will support the oversight and control of Treasury Risks in GE Capital International business unit
  • Working directing with the Lead of this department you will be coordinating multiple projects across a number of international sub business units and process mapping controls within these units. Due to the nature of this work it is imperative that you have strong project management, relationship management and organisational skills
  • Treasury Risk Analyst are an integral part of the reporting Governance process to either ALCO or Portfolio Quality Review committees and gain exposure to senior leadership through these forums
  • Work closely with the sub-business units across Europe and Asia, as well as the relevant Corporate HQ teams to ensure all businesses comply with GECC Policies and local regulations
  • Consolidate and analyse exposure reports to monitor business' compliance against key internal & external policy requirements
  • Create presentations and develop actionable reports for use by the ALCO Committee members
  • Participate in Treasury Risk projects and process initiatives alongside subject matter experts
  • Meet with sub-business units to gain an understanding of their process to identify gaps, document and track accordingly
  • Develop and maintain documentation of processes and procedures
  • Working with the Treasury Risk team leaders on any other ad-hoc requests
  • Bachelor's degree in Finance, Accounting, Statistics, Mathematics, Economics, Risk Management
  • Self-starter, ability to work independently in a fast-paced environment juggling multiple priorities and ambiguity, quickly delivering solid action-oriented results
  • Proven project management skills, able to coordinate efforts/projects across different stakeholders
  • Demonstrable experience of driving projects to completion
  • Ability to work independently and as part of the broader team
  • Knowledge in financial and accounting concepts
  • Excellent intellectual, analytical and problem solving skills essential
  • Sharp business acumen; critical thinking skills
  • Global mind-set & forward thinking
  • Good Knowledge of Microsoft Office Suite: Word, Excel, PowerPoint, Access, Outlook
  • FRM, PRM, CFA or CPA qualification
  • Prior experience of risk management is advantageous
20

Treasury Analyst Resume Examples & Samples

  • Work with internal customers to understand their business needs and ensure the request both matches their needs and Treasury's global standards for bank operations
  • Ensure global bank business is directed to core relationships and obtain detailed justification, and present to management appropriate rationale if a deviation from policy is required
  • Diligence all requests to open, close or change bank accounts to ensure appropriate controls are in place including authorization limits
  • Develop and maintain tracking database for global bank accounts
  • Prepare all necessary banking documentation and work closely with the legal department to obtain the documentary support
  • Build relationships with all key counterparty banks to directly and independently address banking matters with them on behalf of EL
  • Understand and work within the unique banking customs/requirements for all countries where EL operates
  • Prepare, maintain and publish all policies and procedures relating to cash management and banking functions
21

Treasury Analyst Bor H Resume Examples & Samples

  • Support the maintenance of the Capital Protection Framework, including production of results and reporting to senior management
  • The long-term planning model, including the production of the Enterprises capital plan on both a forecasted and actual basis. The candidate will also support running various scenarios to analyze the impact of debt issuance plans and business capital and liquidity needs, among other activities
  • Collaborate with Business Unit Treasury teams to analyze business unit capital plans and capital protection results
  • Develop various ad-hoc presentations and requests for senior management
  • Support activities related to enhanced regulatory supervision, including documentation and procedures and support for continuous monitoring and targeted exams
  • 3-5 years work experience in finance, accounting or treasury field preferred
  • Knowledge of GAAP accounting concepts
  • Experience with financial statement analysis and pro forma financial modeling
  • Team player, but ability to be productive independently ·
22

Treasury Analyst Resume Examples & Samples

  • 2+ years of Treasury experience
  • Knowledge and understanding of SWIFT messages and the use of individual messages with particular knowledge of SWIFT category 1-9 messages
  • Strong working knowledge of SWIFT and use within the market such as CHIPS and Fedwire
  • Understanding of various payment cut office times by currency and country
  • Strong knowledge of regulations with regards to payments specifically cross border payments and 3rd party payments
  • Microsoft Office/Suite proficient (Word, Excel, etc.)
23

LAR Treasury Analyst Resume Examples & Samples

  • 1-2 years relevant (banking or corporate treasury) experience preferred (but not required)
  • Action and results oriented attitude- the middle officer is responsible of significant amounts of cash- minimal errors and an ability to meet tight deadlines are expected
  • Sense of urgency and problem solving- this role requires to set quick and suitable solutions to eventual roadblocks
  • Great analytical and communication skills
  • Ability to multi-task and attention for detail
  • Ability to quickly learn how to work with new systems and various internal and external software solutions
  • Teamwork and communication skills, to effectively work within a multicultural organization
  • Accounting background with knowledge of excel macros/VBA programming skills is also a plus
24

Treasury Analyst Resume Examples & Samples

  • Provides detailed support to the treasury team in areas relating to treasury activities; escalates as necessary
  • Analyzes moderately complex data in areas such as cash management, foreign exchange, risk management, and treasury services and solutions
  • Supports treasury program delivery through the practical application of basic discipline knowledge with limited guidance
  • Participates in various moderately complex treasury projects
  • Contributes to solutions that impact multiple business units and/or countries
  • Typically 2+ years related experience in finance, audit, and/or accounting
  • Systematic knowledge of treasury processes and its link to overall Finance and HP business strategy and the business environment
  • Intermediate knowledge of the legal and regulatory environment as it relates to treasury activities
  • Strong research and analytical skills in areas related to treasury
  • Basic financial and business acumen
25

Treasury Analyst Resume Examples & Samples

  • Providing business leadership of HP’s implementation of separation, new projects, optimization
  • Supporting HP’s cash management architecture of the future - ensuring bank& bank account rationalization
  • Negotiating cross organizational buy-in for proposed strategy
  • Driving configuration of new structures to maximize cash available to HP’s cash pools and minimize operational cash balances
  • Develops relationships with industry professionals and/or external organizations to understand current market trends and best practices and drive internal implementation
  • Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP) designation desirable
  • Cash management, project management, and management of change experience
  • Typically 3+ years related experience in finance, audit, and/or accounting, and 3+ years in cash management/cash investments/project management
  • Strong understanding of risk management techniques and strategies
26

Treasury Analyst Resume Examples & Samples

  • Perform daily cash management activities such as review opening balances, reconcile prior day activity, determine daily cash position, initiate and process cash payments, forecast daily cash and foreign exchange requirements
  • Invest excess cash in accordance with corporate policy guidelines and transact with international cash pools
  • Reconcile treasury management system to bank balances; investigate and resolve any discrepancies
  • Timely trade processing of FX derivative products that are traded by HP’s Front Office
  • Trade flow support, trade validation management and position control
  • Process interest rate swap and bond payments
  • May issue commercial paper, borrow under corporate credit facilities and assist with collateral management program
  • Assist in the preparation and maintenance of procedural manuals for foreign exchange and cash management operations
  • Maintain global bank account database, including managing bank account opening and closing and changing signatories
  • Liaise and provide information for external and internal audit, including Sarbanes-Oxley and reporting for foreign regulatory and/or Dodd-Frank requirements
  • Assist with bank fee analysis and interface with commercial banks as required
  • Provide back-up support for team members and regional TSCs during business continuity planning (BCP)
  • Perform ad hoc reporting and analyses as required. Participate in moderately complex treasury projects and contribute to solutions that impact multiple business units and/or countries
  • MBA or master’s degree preferable, but not required
  • Typically 2+ years related experience in treasury, finance, audit, accounting or banking
  • Numerate with good analytical and organizational skills
  • Excellent communication skills (both written and verbal, also in English)
  • Demonstrated ability to work with a high degree of accuracy and attention to detail
  • Highly organized and efficient
  • Excellent PC, database and Microsoft Office skills (Excel, PowerPoint and Word)
  • Highly motivated individual with a positive mindset, able to work in a fast paced and dynamic environment both independently and in a team setting
  • Systematic knowledge of treasury processes and its link to overall Finance and HP business strategy and the business environment a plus
  • Intermediate knowledge of the legal and regulatory environment as it relates to treasury activities a plus
27

Treasury Analyst Resume Examples & Samples

  • At least a Bachelor's degree (graduate) in finance, accounting or business
  • Certifications (preferred)
  • Basic to intermediate knowledge of treasury processes and overall business environment
  • Basic to intermediate knowledge of the legal and regulatory environment as it relates to treasury activities
  • Intermediate to strong research and analytical skills in areas related to treasury
  • Team player, reliable, independent, ability to meet tight deadlines
  • Good spoken and written English (additional - Mandarin would be a big plus)
28

Treasury Analyst Resume Examples & Samples

  • Internal/External Reporting: Accurately prepares and meets corporate deadlines relating to various internal and external reporting deliverables: a) quarterly P&L forecast for pensions, retiree medical, post-employment and other health & welfare accounts b) quarterly SEC 10Q retirement disclosures c) monthly worldwide balance sheet and expense comparisons d) monthly Executive Management Review (EMR) and e) ad-hoc reporting. Individual must be capable of detail oriented work and perform complex analyses
  • Pension Accounting: Also responsible for various pension accounting, other post retirement and FAS112 activities: a) coordinates the annual worldwide accounting re-measurements (ASC 715 or previously FAS158) which requires testing files and working with Tax b) drafts the US monthly pension expense entries c) distributes the annual pension entries to key global finance personnel and d) monitors worldwide accounts to ensure entries are properly recorded. This key role will utilize a sub-ledger maintained at the global actuary for many deliverables
  • General Accounting Functions: Position may draft journal entries including top side entries, monitor certain general ledger accounts, provide balance sheet fluctuations and prepare account reconciliations on an interim basis until transitioned to another organization. Subject matter expertise and transition assistance will likely be required in order to ensure that the reconciliations are transitioned properly
  • SOX Controls: Position also owns several key SOX controls, will provide support to internal and external auditors and will at least annually refresh the team’s SOX documentation
  • Annual Benefit Plan Audit: Coordinates the annual Retiree Medical Savings Account (RMSA) benefit audit and coordinates all related benefit filings with regulatory agencies. This includes the preparation of the trial balance, financial statements, disclosures as well as recommending appropriate adjustments. Extensive work with the external auditors will be required as well as with other key stakeholders such as Human Resources, Treasury, Legal and various 3rd parties
  • Global Support and Training: Position will provide consulting and training on an as needed basis
  • Special Projects and Process Improvement: Ongoing process improvement initiatives and documentation of key activities will be expected as well as creative solutions to complex issues. Position will also oversee various strategic projects and Treasury initiatives. This position will also assist drafting various team presentations for senior management, EY, and for our key stakeholders
  • Bachelor’s Degree with emphasis in Accounting (MBA or Masters in accounting a plus); Posted - First-level university degree or equivalent experience (emphasis in accounting); advanced university degree preferred
  • Accounting certification highly desirable, Certified Public Accountant (CPA)
  • 5+ years experience in industry and/or public accounting
  • Recent experience preparing financial analyses, reconciliations, journal entries, working trial balances, financial statements, related footnotes and SEC experience a plus
  • Benefit plan audit experience and process improvement skills helpful
  • Systematic understanding of controllership and treasury processes, as well as other finance functions
  • Excellent understanding of generally accepted accounting principles (GAAP) and benefit plan accounting
  • Understanding of ASC 715 and 712 (previously FAS87, 88, 106, 158, 112, 132) helpful
  • Demonstrated ability preparing reconciliations, journal entries, working trial balances, financial statements and financial analyses
  • Knowledge and understanding of defined benefit pension plans, ERISA, and benefit plan regulatory compliance
  • Solid communication skills, both verbal and written, as well as collaborative skills
  • Self starter with the ability to handle multiple projects, manage aggressive deadlines, and work independently
  • Strong analytical and problem solving skills, including financial acumen
  • Detail oriented and proficiency in Microsoft Office Tools required
29

Treasury Analyst Resume Examples & Samples

  • Trade matching in CLS and Misys and trade settlement of G10 and NDF currencies
  • Typically 3+ years related experience in treasury, finance, audit, accounting or banking
  • Numerate with good analytical, organizational and communication skills in English (both written and verbal)
30

Treasury Analyst Resume Examples & Samples

  • Produce Daily Cash Position Report
  • Process domestic and International wire transfers/account transfers
  • Monitor payroll bank account activity
  • Review monthly account analysis
  • Bank account analysis fee allocation
  • Process 60+ monthly mortgage payments
  • Process monthly distribution wires
  • Update daily bank account activity
  • Assist with opening/closeing/updating bank accounts
  • AP voided check processing
  • Record Payroll manual check issues
  • Backup administrator for merchant account setup
  • Issue quarterly fund distributions
  • Provide cash management audit support
  • Wire transfer backup support
  • ACH batch processing
  • Upload manual positive pay issue files
  • Backup bi-weekly cash management process
  • Check Imaging retention and image requests
  • Bachelor's Degree preferred (Business, Finance, Accounting or related field)
  • Demonstrated ability to prioritize work in a deadline-driven environment
  • Excellent analytical Skills
  • Proficiency in Microsoft Office Suite
  • Advanced Excel skills preferred
31

Treasury Analyst Resume Examples & Samples

  • Undertake activities designed to improve overall the banking structure and cash management for multiple business units
  • Provide accurate projections of cash flow as required, and perform analysis when needed
  • Active involvement in special projects
  • Demonstrate financial acuity and problem resolution in different financial areas
  • Interaction with the banking community and other financial services providers required on a regular basis
32

Treasury Analyst yrs Exp., Rapid Growth Resume Examples & Samples

  • Work with a team of great people
  • Maintain cash forecasting analyses for alternative investment funds
  • Actively manage all the funds’ cash activity and the liquidity and settlement for underlying fund investments
  • Assist in the establishment of credit facilities
  • Assist in the management of banking relationships and maintenance of liquidity lines of credit, including monthly compliance reporting
  • Participate in the management of counterparty risk by diversifying exposures to various counterparties, monitoring the financial health of counterparties
  • Implement, and execute policies and procedures to reduce operational risk and improve efficiencies
  • Initiate payment authorizations, wire blotters and confirmation schedules
  • Liaise between the firm and its external vendors including banks, administrators, and trading counterparties
  • Participate in cross-department working groups and special projects as required
  • Provide the highest level of client service to clients and internal stakeholders
  • Undergraduate degree in Accounting, Finance, or other relevant major
  • 2 to 5 years treasury experience
  • Must have strong PC experience and be highly proficient in MS Excel, MS Word
  • Experience with general ledger and portfolio software is desirable
  • Demonstrated interest in and knowledge of accounting and finance
33

Treasury Analyst Resume Examples & Samples

  • Financial risk management – identifying financial risk (foreign exchange, interest rate, equity, commodity, counterparty) and making recommendations on appropriate hedging strategies
  • Evaluating financing proposals from dealers, including structured finance and leasing
  • Supporting financing activity (debt and preferred equity issuance and rate resets, issuer bids, etc.)
  • Capital structure analysis
  • Managing the activity associated with these responsibilities
  • Strong background in Finance (minimum of 3 years relevant experience)
  • CFA designation (desired but not required)
  • University degree in Finance, Engineering
  • Excellent knowledge of financial markets and mathematics of derivatives
  • Excellent computer and modelling skills
  • Practical knowledge of hedge accounting
  • Good management of ambiguous situations
  • Strong team player, partnering skills
34

Treasury Analyst Resume Examples & Samples

  • Handle daily cash management and banking responsibilities for the company
  • Assist with foreign exchange investments and planning
  • Maintain banking relationships with vendors
  • Liaise with various other finance teams both local and international
  • Bachelor’s degree in Accounting, Finance or other business discipline
  • Two or more years of cash management experience
  • Experience with foreign currencies is a plus
  • Strong technical aptitude, must know Pivot Tables, Lookups in Excel
  • Outgoing personality and ability to work well across multiple departments
35

Treasury Analyst Resume Examples & Samples

  • Maintain daily cash reporting – cash consolidation, disbursements, funding obligations, cash forecast and analysis
  • Complete the bank interest & fee schedules and compliance documentation
  • Assist in completing derivative hedging documentation
  • Review process and procedures to ensure performance in the most effective and efficient manner
  • Responsible for cash flow and balance sheet forecast and analysis
  • Routinely handle confidential information and apply strict confidentiality and sensitivity in the dissemination of information
36

Treasury Analyst Resume Examples & Samples

  • Manage the company’s international cash positions. This includes the daily cash management and reconciliation of Treasury concentration bank accounts on behalf of several legal entities outside of the US. Complete daily cash management activities through the use of a Treasury system, minimizing the amount of idle cash while maintaining sufficient liquidity to meet all operating needs. Ensure compliance with internal SOX control procedures
  • Reconcile cash settlements associated with all currency hedging programs and investment portfolio management activities
  • Work closely with all Finance departments worldwide, primarily Tax, Accounts Payable, and Accounting. Act as the primary contact for internal and external auditors as it relates to all International Cash Management activity
  • Ensure that the month-end close activities are performed in accordance with established Finance and Treasury policies and procedures
  • Cross-train and provide backup on all U.S. Cash Management processes
  • Assist in the evolution and ongoing maintenance of the Company’s worldwide bank account structure. Maintain accurate and up to date records for all international bank accounts. Act as a primary contact and administrator for all online banking tools utilized around the world
  • Identify and implement best-in-class Treasury technology for continuous improvement to the efficiency and effectiveness of the Treasury team. One example is the assessment and implementation of an electronic bank account management (eBAM) solution
37

Senior Risk & Treasury Analyst Resume Examples & Samples

  • Organize audit plans and programs for financial, operational and compliance audits
  • Prepare and review audit workpapers
  • Communicate with upper management on findings and propose solutions
  • Research ways to improve audit efficiency and accuracy
  • Prepare cash projections and debt covenants
  • Accounting degree
  • Two or more years of experience, either in internal or external audit
  • Higher Education industry experience, preferred
  • CPA or CIA, preferred
38

Treasury Analyst Resume Examples & Samples

  • Bachelor's Degree in finance-related field
  • 4-6 years of experience within Treasury Back Office/ Cash Management / In-house banking, in a multinational company or financial institution
  • Experience with payment systems and practices
  • Experience with SAP FI and In-house cash
39

Treasury Analyst Resume Examples & Samples

  • Undertaking the cash and liquidity management for BBC and Commercial businesses (including BBC WW)
  • Undertaking all aspects of FX, credit risk and interest rate management for BBC and BBC WW including treasury dealing
  • Investment management
  • Bank Account Management
  • Other aspects of treasury operations
40

Fm Treasury Analyst Resume Examples & Samples

  • Prepare, or review and approve journal entries to ensure that they accurately record the company’s financial transactions in the proper period. Ensure that supporting documentation is maintained
  • Design, implement and document more complex accounting and reporting process workflow and controls for assigned accounts and subsidiary accounting systems, including reconcilement and monitoring processes and controls
  • Design, prepare or review, submit and interpret reports related to financial performance, internal control compliance, annual financial plan, budget or forecast variances, etc. for assigned area of responsibility
  • Maintain a working knowledge of GAAP and regulatory reporting requirements applicable to assigned area of responsibility. Review and modify controls as appropriate to ensure consistency with GAAP, industry regulations and corporate policies and standards relative to risk management and reporting
  • Assist in the creation of accounting policies and standards related to area of responsibility
  • Assist in the review of assumptions and calculations employed in significant financial models for consistency with GAAP, industry regulations and corporate policies and standards. Ensure that changes to models and assumptions are tested and implemented in conformity with corporate policies and standards
  • Ensure that responses to auditor/examiner requests for information are complete and accurate. Responses to External and Regulatory requests are to be made in collaboration with Accounting Policy. Ensure prompt remediation of any issues identified
  • Ensure complete and accurate data capture, categorization and summary to facilitate required reporting for ongoing operations and merged/acquired entities by working with assigned line of business operations, administration, data center and/or IT support
  • Ensure that required schedules, reports or filings for assigned area of responsibility are submitted in a timely and accurate manner. Monitor internal and regulatory alerts for changes to filing requirements and deadlines
  • Bachelor’s degree in accounting or finance or equivalent education and related training
  • Seven years of accounting experience specific to area of responsibility
  • Three years of supervisory experience
  • Good interpersonal skills, across organizational levels
  • Demonstrated organizational and leadership skills
  • Ability to prioritize and delegate effectively to meet critical deadlines
  • Ability to work independently and as a productive member of a team
  • Demonstrated proficiency in basic computer applications such as Microsoft Office products, with an emphasis in spreadsheets, word processing and database software
41

Fm Treasury Analyst Resume Examples & Samples

  • Assist with monitoring and managing liquidity forecast for the Corporation, Holding Company and subsidiary banks and ensure liquidity positions are within policy and Regulatory guidelines. Measure and in conjunction with the Portfolio Manager and Corporate Funding Manager, manage the company’s liquid asset buffer as well as concentration levels of brokered deposits, foreign deposits, and secured deposits. Model and project liquidity ratios under baseline forecast and stress forecasts to ensure BB&T can meet its liquidity obligations and remain with its risk appetite in all market conditions
  • Maintain the Corporation’s Contingency Funding Plan (CFP). The plan should be constantly monitored for improvement and should be in conformity with all applicable Regulations. The plan should be maintained at the Holding Company and Bank. Incorporation of new entities into the plan should be constantly considered
  • Develop cash flow and funding gap reports as required by the Enhanced Prudential Standards
  • Prepare Parent Company Cash flow analysis / funding plan to insure current and projected compliance with Parent Company liquidity limits and goals
  • Assist with management of all liquidity modeling needs for CFP, CCAR, Recovery and Resolution Planning, Enhanced Prudential Standards, ALCO reporting and others as needed
  • Prepare monthly liquidity stress tests. Lead the CFP Assumptions working group and fully document all liquidity stress test assumptions. These tests should be conducted at the Holding Company and Branch Bank level. Use results of these tests to make changes to Contingency Funding Plan as well as the company’s liquidity profile and liquid asset buffer
  • Evaluate Early Warning Indicators (EWIs) as monitored by the Corporate Funding Manager and prepare monthly Contingency Funding Plan dashboard
  • Owner of the banks Liquidity Risk Management (SAP LRM) system for liquidity risk reporting. Maintain system in conjunction with Financial Systems to meet all existing and new liquidity reporting needs of BB&T as directed by management or regulation
  • Model inter-company issuance in order to maintain appropriate liquidity ratios and operating reserves
  • Review liquidity and funding reporting for MRLCC
  • Oversee and manage annual Liquidity Event Simulation with Executive Management, Crisis Management Team, and other LOB’s involved in the exercise. Fully document the exercise and update policies and procedures to address any gaps identified
  • Prepare and fully document semi-annual intraday liquidity stress tests
  • Manage the compliance with all liquidity regulation including Reg YY, Liquidity Coverage Ratio (LCR), Net Stable Funding Ratio (NSFR), and Board and Management level goals and targets
  • Manage the systematic review and implementation of compliance efforts for new liquidity regulation. Maintain appropriate reporting mechanisms, documentation and action plans for new regulatory compliance
  • Manage the Basel Quantitative Impact Study (QIS) process for liquidity
  • Helps ensure compliance with MRMD Policy and Standards for all models used by the Corporate Liquidity Risk Management group. Ensure all models are properly validated and documented
  • Provide Management Reporting with the assumptions use in the FTP system related to liquidity. Work with the Economic Capital team to fully incorporate liquidity risk into economic capital
  • Continually evaluate strategies for enhancing the liquidity of the asset side of the balance sheet including securitization, secured borrowing programs, and collateral management. Periodically update assumptions based on dealer discussions and market conditions
  • Participate in Industry peer and trade groups related to new banking regulation. Assist in the preparation of industry group analysis and comment letters. Lead BB&T’s comment letter process for all liquidity related regulations
  • Bachelor’s degree in a related field or equivalent education and related training
  • Five years of experience in a market oriented trading/portfolio management position
  • Expertise in financial markets and capital market products
  • Ability to think strategically
  • Proven ability to work well under high pressure in volatile markets
  • Thorough understanding of economic cause and effects on the financial markets
  • Large bank treasury department experience
  • Understanding of bank regulatory issues including Dodd-Frank and Basel II/III that impact liability and liquidity management. An understanding of accounting rules and regulations, accounting as it relates to the bank’s assets and liabilities, FAS 133, regulatory accounting principles (RAP) accounting for financial firms, banking procedures and processes, and an understanding of computer/automated general ledger systems
  • A thorough understanding of asset liability management and the role of a banks funding portfolio in the MRLC process
  • A strong understanding of derivative instruments and their use in hedging debt instruments
  • Very strong verbal and written communication skills. Business acumen and business and social maturity
  • Advanced proficiency in software tools such as Microsoft Office products
  • Master’s degree in business administration
  • Chartered Financial Analyst (CFA) or other professional designation
  • Experience with global debt issuance programs
  • Asset liability accreditation
  • Experience in capital market transactions for funding, derivatives, or fixed income investments
42

Treasury Analyst Resume Examples & Samples

  • Working knowledge of financial markets as well as fixed income portfolio management techniques and valuation models
  • Solid experience in creating SQL querying to extract and manipulate data
  • Strong programming skills with VBA and SQL
  • Solid experience with Microsoft Office tools (Excel, Word, Powerpoint)
  • Strong presentation and documentation skills
  • Strong analytical & communication skills, and demonstrated track record of creative problem solving & solution development
  • Ability to work in a fast paced, multiple-project environment
  • Proven ability to work in teams and to build effective working relationships, as well as ability to work independently
43

Treasury Analyst Resume Examples & Samples

  • Bachelor's Degree in Finance-related field
  • 4-6 years of experience within the field of Treasury Operations/Cash Management/In-house banking, in a multinational company or financial institution
  • Knowledge and experience working with treasury management systems and major banking systems
  • CTP designation
  • Experience with global payment systems and practices Experience with SAP FI and In-house cash
44

Treasury Analyst Resume Examples & Samples

  • Performs moderately complex analysis and work assignments for one of the following departmental functions
  • BachelorÆs degree in Finance or Economics required
  • Typically requires 2 û 4 years of Finance-related experience, Treasury experience preferred. Financial services / banking industry experience preferred
  • Strong analytical, modeling, and database skills. Experience with ALM modeling software desired (QRM preferred) for those aligned to Asset/Liability function. Significant database experience preferred
  • Knowledge of investment securities, capital markets, and various money market products including fed funds, repurchase agreements, commercial paper, certificates of deposit, and banknotes
  • Demonstrated ability to learn and become proficient with computer software, analytical and data base management tools
  • Proven ability to independently manage multiple assignments and demonstrated initiative
  • Demonstrated proficiency in critical thinking, leadership, business acumen, relationship building and teamwork
45

Treasury Analyst Resume Examples & Samples

  • Able to work accurately and under high pressure within fixed and short timeframes. Detail oriented and good organizational skills. Results and quality oriented. Drive automation. Prepare Management and Counterparty reports
  • Stay abreast of industry best practices, internal treasury activities and financial market conditions
  • Experience using a Treasury Workstation (WallStreet Systems, Reval or comparable system) and Misys a plus
  • Leverage Excel and other banking/analytical tools (Weiland for Bank Fee Analysis) in execution of responsibilities
  • Understanding domestic and international payment systems to ensure that appropriate settlement details are present
  • Market Operations -- Knowledge of financial market operations (i.e Forwards, Spots, Swaps, Options, Investments) and the key aspects affecting valuation
  • Treasury Transactions - Understanding of the various types of treasury transactions to enable independent confirmation. Ability to adapt as different types of transactions are introduced
  • Treasury Policies -- Knowledge of Treasury financial policies and procedures
  • Analysis – Ability to create ad hoc analysis to support business needs
46

Treasury Analyst Resume Examples & Samples

  • Forecast regional cash balances and work with internal stakeholders on regional funding needs
  • Support daily bank transaction activity. Troubleshoot cash management related issues, bank connectivity and other treasury workstation issues
  • Initiate wires and settle intercompany transactions. Review, authorize, and release payments. Work with regional banks and bank branches to assist internal partners with local payments
  • Assist with bank account opening and closing procedures. Maintain regional bank account callback list and assist with bank account management process
  • Provide support for intercompany dividend activities
  • Confirm and settle foreign exchange trades
  • Prepare and process journal entries for FX trading and hedging activities
  • Assist with developing foreign exchange exposure forecast. Consolidate, and analyze actual FX exposures
  • Prepare and publish company FX rates to various systems and intranet website
  • Assist with external audit confirmations and internal/external reporting
  • Support ad hoc projects in FX and Capital Markets areas as needed
47

Treasury Analyst Resume Examples & Samples

  • Ensure all daily work within area of responsibility is prepared/execute timely, accurately and according to department procedures and regulatory requirements
  • Ensure timely highlight the recurring errors and resolution of these issues considering impact to other areas and sites. Confirm that all management reporting has been created and reviewed as required by department standards
  • Effectively communicate trends/issues identified in daily operations to the necessary recipients
  • Preparation of checklist and MIS reports
  • Co-ordination with TA, TACC MMCRRecon, banks in relation to unresolved exceptions, investor queries i.e. Stop payment and Cancellation of Demand Drafts issued by the banks based on the investor requests
  • Bachelors degree in Business or equivalent experience, in Business, Accounting or Finance preferred
  • 1 to 3 years of Treasury Banking Operations experience, preferably in a global company
  • Experience in Mutual Fund industry preferred
  • Intermediate or higher MS Excel skills
  • Intermediate MSOffice skills
  • Mutual funds accounting software experience helpful
  • Basic Indian banking knowledge
  • Team player and flexible
  • Able to prioritize and perform well under pressure
  • In addition to the dynamic and professional environment at Franklin Templeton, we strive to ensure that our employees have access to a competitive and valuable set of Total Rewards—the mix of both monetary and non-monetary rewards provided to you in recognition for your time, talents, efforts, and results. For a listing of total rewards in your region, visit our Locations page for more details
48

Fm Treasury Analyst Resume Examples & Samples

  • Develop analysis of the balance sheet assets or liabilities in relation to interest rate risk management, optimization of income, cash flow, price performance (price risk), securities transactions (bond swaps, financial derivatives, repurchase agreements etc.) and other specific security risk / return attributes
  • Collect data required for modeling of potential individual securities or multiple security portfolio transactions
  • Model potential transactions in the bond or debt portfolios
  • Read and analyze published financial information on the kinds of transactions other financial institutions are undertaking in the current rate environment
  • Perform sensitivity analysis for yield curve changes (value changes, duration changes, analyze convexity profile)
  • Develop presentations of analysis results
  • Assist in quantitative analysis
  • Assist in data management process as a backup to the Data Manager. Process data using SAS, Access, and Sequel Server
  • College Degree in accounting, economics or finance or equivalent education and related training
  • Four years experience in area of financial analysis
  • An understanding of general accounting rules and regulations, accounting as it relates to bond portfolios and derivatives and a general understanding of computer/automated general ledger systems
  • Fluent knowledge of PC word processors and spreadsheets
  • Very strong knowledge of financial forecasting techniques
  • Advanced knowledge of Access
  • Knowledge of SAS / Visual Basic
  • Knowledge of quantitative analysis methodology
  • Ability to travel as required
  • Chartered Financial Analyst or Master's of Business Administration
  • Previous experience in a treasury function of a major bank
49

Fro / Treasury / Analyst Resume Examples & Samples

  • Reporting Current liquidity position through the production of the daily Gap Analysis Report
  • Supporting Functional Projects related to CRDIV / Basel III implementation
  • Responsible for participating in the production of existing as well as playing a role in the development of new Regulatory reporting requirements
50

Liquid Markets Treasury Analyst Resume Examples & Samples

  • 3+ years of work experience within Middle Office, Treasury, Trading desk and/or Operations
  • Proficient in Microsoft Office
  • Knowledge of VBA
51

Treasury Analyst Resume Examples & Samples

  • Gathers information from various banking, fulfillment house and transaction processing systems to ascertain net cash position for the day; executes electronic cash transfers, borrowing, pay down and investment transactions; prepares daily reports for finance management team
  • Inputs cash receipt and disbursement details into general ledger using Oracle templates; assembles supporting documentation; reconciles general ledger balances with daily bank account spreadsheets
  • Prepares accruals and any other necessary adjusting entries; prepares monthly summary of cash flow
  • Maintains files and participates in annual budget process
  • Maintains cash forecast templates, downloads and monthly files; participates in LIBOR planning and daily cash management decisions
  • Acts as administrator for on-line banking systems
  • Maintains banking resolutions file and signature authority instructions for banks
  • Assists the credit and collections team with collections process and analysis of delinquent accounts
  • Bachelor degree in finance, accounting, or related field
  • Knowledge of cash management and banking
  • Experience with financial analysis, modeling and reporting
  • Experience with Excel and other Office suite of products
  • Self starter and active learner
  • Three to five years of relevant finance experience in an organization of appropriate scale and complexity
52

Treasury Analyst Resume Examples & Samples

  • Daily administration of domestic bank accounts, investments, and debt obligations to include required funding and disbursement, and compilation of cash position
  • Administration of Company accounts and compilation of cash position for international affiliates, to include funding, investments, and disbursements in local currency
  • Identify proper approval for transactions and initiate domestic and international electronic funds transactions for settlement of Company, and Company affiliate obligations
  • Record appropriate general ledger entries for Company cash transactions, and maintain proper internal controls of recorded transactions
  • Facilitate the settlement of Company cash related obligations between international subsidiaries and affiliates to enable the consolidation of Company funds. Establish required company bank accounts performing administration, reporting, and file maintenance
  • Document treasury procedures and maintain appropriate details in coordination with treasury responsibilities and initiatives
  • Execute foreign exchange transactions to provide for adequate funding for subsidiaries and to provide for accounts payable requirements
  • Assist and back up manager as needed in day to day foreign exchange activities
  • Bachelor’s of Science degree, with a major in Finance or Accounting with a CPA or MBA a plus
  • Three to five years of exposure in corporate treasury related experience required (cash management, bank reconciliations, and wire transfers)
  • Must possess innovative problem solving skills and strong analytical abilities
  • Able to multitask and prioritize tasks
  • Comprehensive PC skills, advanced level Excel using Pivot Tables and V-Lookups a must
  • Certified Treasury Professional (CTP) a plus; at a minimum working towards
  • Familiarity with Foreign Exchange Rates and/or Global Markets is a huge plus
  • PeopleSoft, Oracle, ERP Systems knowledge preferred
53

Treasury Analyst Resume Examples & Samples

  • Oversee daily management of cash and debt (tracking cash balances and where applicable daily borrowing position)
  • Work closely with Accounts Payable to ensure transactions are correctly recorded
  • Provide guidance and support of the bank account reconciliation process
  • Analyze historical cash flow to determine trends that can be used in the forecasting model. Maintain/refine current cash forecasting model to better identify risks and potential cash needs
  • Assist in working with groups outside of Treasury to provide necessary forecasting data to improve the overall forecast
  • Serve as a point of contact for internal customer support
  • Assist in month-end closing reporting with corporate accounting
  • Review account analysis statements for accuracy and track cash management services used
  • Aggressively manage bank fees structure continuously finding ways to reduce the fees structure and maximize available cash, heavily focusing on optimization of our banking structure
  • Maintain effective and well documented information on current and proposed banking structure (bank account information, flow charts, signatories and related authorizations
  • Act as the point of contact for managing all bank accounts (new, closed, transferred accounts)
  • Works closely with the Manager of Treasury and Controller - Financial Services to determine annual capital term loans strategy and execution with partner banks
  • Leadership in management, tracking and reporting for the Firm’s Credit Card and Merchant Programs
  • Minimum of two years of banking or finance experience
  • Demonstrates a sense of urgency and professionalism
  • Sets priorities, seizes opportunities to meet and achieve goals
  • Consistently adapts with positive outlook and understanding of the need to change
  • Acute attention to detail and organization
  • Analytical Skills: Notice anomalies and spot inconsistencies and correct or explain variances
  • Knowledge of Microsoft Office suite, with expertise in Excel
  • Familiarity with Elite (Legal Financial System) a plus
54

Treasury Analyst Resume Examples & Samples

  • Maintain and enhance Macquarie's balance sheet liquidity and interest rate risk models use to deliver key reports and analysis including Liquidity Coverage Ratios, daily liquidity reporting, and non-traded interest rate risk
  • Liaise with Macquarie business units to analyse product features, customer behaviour and the impact on balance sheet management activities. Integrate new products and businesses into models and reporting frameworks
  • Work with Treasury management and technology teams to define requirements for models, reports and analysis and ensure that work delivered meets the requirements of business users
  • Assist in the design, development and validation of data extracts and transformations required to support balance sheet risk models
  • Support the reporting and analytical requirements of Group Regulatory Reporting, Treasury Balance Sheet Management and Market Risk hedging teams
  • Good technical understanding of financial products and markets and an interest in building a career in Treasury risk management
  • Familiarity with data warehousing principles and the ability to extract and interrogate data using SQL
  • Knowledge of the QRM Framework will be beneficial, although applicants with experience using other enterprise risk management frameworks are encouraged to apply
  • The ability to critically and logically analyse information and clear and concise communication skills
55

Banking & Treasury Analyst Resume Examples & Samples

  • Accurately accounting for investments, inter-company loans and financial instruments globally in Shire
  • Proper administration of main banking systems
  • Monitoring and assessing Shire’s exposure to third party counterparties
  • Providing payment services to Finance Companies and certain European entities
  • Accounting for certain group companies, including journals, reconciliations and queries
56

Treasury Analyst Resume Examples & Samples

  • The team is also responsible for FX & liquidity management
  • Trading within approved guidelines with counterparty banks to negotiate FX deals on best execution basis
  • Daily monitoring and analysis of funds' securities holdings, cash & portfolio instruments in fixed income, equity, multi-asset and fund-of-funds structures
  • Ensuring that all currency hedging mandates meet all relevant regulatory tests and internal guidelines at all times
57

Treasury Analyst Resume Examples & Samples

  • Responsible for executing the day-to-day cash activities, including company’s domestic daily cash position and domestic and international electronic funds transfers
  • Assist business units with opening and closing domestic and international bank accounts
  • Support retail operations including involvement with local bank account openings/closings, coordination of deposits/change orders and armored car service
  • Assist with Foreign Exchange initiatives, including back-office confirmations and processing trades
  • Assist with audits, departmental SOX and other compliance efforts
  • Perform various types of reporting and analysis (including, but not limited to, the daily cash dashboard to senior management)
  • Support various department projects, such as banking, system upgrades and implementations, and process improvements
  • Act as internal consultant to provide treasury service expertise to internal business partners as well as proactively identify opportunities for process and system improvements
  • 2 - 5 years’ experience in domestic and international treasury/cash management or banking field preferred
  • Excellent communication (written and verbal), analytical and interpersonal skills
  • Ability to handle multiple tasks under tight deadlines, work effectively in a team environment and handle sensitive and/or confidential information
  • Bachelor’s degree in Finance, Accounting, Economics or related field
  • MBA preferred, but not required
  • Experience with treasury workstations (especially IT2), banking file formats (BAI, SWIFT), banking online systems, SAP
  • Certified Treasury Professional designation (or a willingness to obtain this certification)
  • Experience with retail operations
58

Regional Treasury Analyst Resume Examples & Samples

  • Maintain and monitor the cash level and foreign currency exposure
  • Work closely with treasury back office team to ensure all settlement and accounting entries are well prepared
  • Have a basic understanding of the banking products and the market. Make recommend on hedging instruments, cash deposit, loan drawdown to mitigate liquidity and currency risk
  • Prepare 6 month rolling cashflow forecast and liquidity planning
  • Ensure cash and currency risk management strategies are in compliance with internal and external regulations
  • Support ad hoc regional and global cash management projects
59

Treasury Analyst Resume Examples & Samples

  • Good at written and specking both English and Chinese
  • Degree holder is preferred and major in Finance/Accounting/Banking/Business Law
  • With related working experience is preferred
  • Mature and able to work independently
  • Fast react to business requirement - Good communication skill
60

Treasury Analyst Resume Examples & Samples

  • Update Canon USA’s daily cash position
  • Assist in determining available cash to invest on a daily basis
  • Control intercompany loans with subsidiaries
  • Prepare daily, monthly and quarterly journal entries for expense allocations and accruals. Monitor departmental and product division expenses through internal reporting
  • Monitor bank fee billing to ensure accuracy versus contracted rates
  • Assist Budget Department to ensure timely accurate budget
  • Prepare monthly reporting requirements for management
  • A Bachelor's degree in Accounting or Finance
  • 3 - 5 years of experience in Treasury Management operations
  • Strong knowledge of general accounting principles, budgeting and computer systems
  • Proficiency with Excel, MS Word, Powerpoint
  • Strong written and oral skills. Ability to communicate effectively with senior level management
  • MBA or CTP a plus
  • Candidate must be flexible and adapt to changing priorities and responsibilities
61

Treasury Analyst Resume Examples & Samples

  • Help Prudential prepare to implement Required Capital, a risk sensitive methodology replacing Required Equity as Prudential capital allocation framework
  • Coordinate the quarterly Required Capital forecasts/actuals by collaborating with various functional areas (e.g., Corporate Actuarial, Risk Management), providing guidance & answer business questions and aggregate results in Clarity by business and in total
  • Analyze and report results/variances to senior management
  • Update the Business Unit return hurdles and Prudential weighted average cost of capital (annually)
  • Evaluate ways to refine the methodologies used for Required Capital and Business Unit return hurdles, as necessary
  • Assist with the assembly and review process of the Annual Capital Plan
  • Provide support for other requests from senior management as needed, including those related to potential Fed capital regulation
  • Gain exposure to senior management in Treasurers, multiple business groups and functional areas
  • Understand various capital frameworks and related processes
  • Develop further financial analysis and analytical skills
  • Team player with ability to be productive independently
  • Solid interpersonal and communications skills and ability to interact with all levels of senior management
  • Time management & organizational skills
62

Treasury Analyst Resume Examples & Samples

  • Cash management and cash forecasting
  • Lending facilities management
  • Covenant reporting and testing
  • Management of counterparty risk
  • Calculate foreign currency exposure
  • Minimum of three years of treasury experience
  • Very proficient with Excel (vlookups and pivot tables)
63

Treasury Analyst Resume Examples & Samples

  • College degree or equivalent in Finance or Accounting
  • 2-5 years Treasury experience
  • Treasury Workstation experience
  • Knowledge of Banking Systems
  • Strong working knowledge of Microsoft Excel and Word
  • Experience with Wall Street Systems
64

Treasury Analyst Resume Examples & Samples

  • Create and maintain short and long-term cash flow forecasting models
  • Prepare quarterly loan compliance materials, including covenant calculations and formatting accounting information
  • Perform day-to-day loan administration: prepare notices, verify interest payments, prepare interest expense accrual, loan holder analysis and maintain accurate and orderly electronic and paper records
  • Support operations including wires and transfers
  • Perform ad hoc projects as assigned
65

Treasury Analyst Resume Examples & Samples

  • Administer the daily cash activity for VMware International Limited (VIL) and the international subsidiaries
  • Ensure all accounts are funded to cover payments (AP/Payroll/FX/Investments/IC settlements etc)
  • Initiate daily and international funds transfers
  • Coordinate foreign exchange settlements for VIL and international subs
  • Manage the intercompany settlements process
  • Manage security deposit process
  • Administer VIL’s and the international subsidiaries’ global bank accounts, including setup of new bank accounts, approved access, and updating documentation and authorized signers as required
  • Assist with setup of new entities from a Treasury perspective
  • Ensure treasury procedures are up to date and reflective of treasury key controls and segregation of duties
  • Assist with maintenance and implementation of new requirements of Treasury Management System
  • Other ad hoc Treasury projects as necessary
66

Treasury Analyst Resume Examples & Samples

  • Support cash forecasting process
  • Ensure accurate maintenance of bank account, balance, bank/Treasury systems and bank cost information
  • Support Standby Letters of Credit and bank guarantees requirements
  • Perform ad-hoc duties
67

Treasury Analyst Resume Examples & Samples

  • Cash management
  • Journal entries for cash transactions, including deposits and expenditures
  • Prepare documentation for certain insurance, surety, hedging, real estate, letters of credit, financing and capital market activities
  • Monitor outstanding checks for stale date and escheatment requirements
  • Banking, merchant services, armored car, and other cost analysis
  • Verify charges for interest, letters of credit, and other service charges
  • Minimum of two years prior experience in Corporate Treasury, including experience with bank reconciliations and cash management
  • Experience working with a treasury management system is preferred
  • Strong computer skills including Excel, Word, Outlook and Microsoft Dynamics AX
68

Treasury Analyst Resume Examples & Samples

  • Administer the Trustees’ compensation process such as payments, allocation of fees to the funds overseen by each Board, Trustee Deferred Compensation Plans and Trustee compensation reporting. Maintain accurate recordkeeping of all Trustee transactions for internal and external groups such as Trustee compensation for Statement of Additional Information (SAI) reporting
  • Prepare monthly compensation statements for Board of Trustees and review quarterly deferred compensation statements received from the Transfer Agent for accuracy
  • Prepare memos for trade transactions based on instructions from Trustees and work with Transfer Agent to ensure accurate processing of trades (buy/sell shares)
  • Create and analyze Expense Budgets by forecasting fixed expenses based on payments trends. Research budget changes and payment fluctuations each month
  • Take ownership of a set group of Mutual Funds to recon monthly the payables, accrued expenses and ratios on these funds and be able to independently research any discrepancies
  • Monitor variable expenses to ensure accruals are set per the agreements and be able to perform pro-forma variable fee calculations, if fee structure changes
  • Monitor reimbursement monthly to ensure the expense caps are working correctly and raise any issues directly to the Fund Accounting Team
  • Prepare prospectus fee tables and provide explanations to management for any significant changes from the prior year. Review the accuracy of expense data and disclosure in the prospectus tables and bring any questions or concerns to the Legal Team
  • Assist management on ad-hoc projects related to various types of expense analysis such as new products, mergers, liquidations, fee structure changes and the like
  • Must have a Bachelor's Degree in Accounting or Finance or similar
  • 2+ years of mutual fund accounting / administration / audit experience
  • Strong analytical skills with a high attention to detail
  • Strong process and time management skills, with ability to manage multiple concurrent responsibilities in a constantly changing environment
  • 1 year experience directly related to Mutual Fund Expenses (Treasury functions)
  • Proficiency in Microsoft Office is highly desirable
69

Treasury Analyst Resume Examples & Samples

  • Initiate daily outgoing wire transfers for Company, from domestic and international banks
  • Correspond with Loan analyst from Senior Credit Facility regarding Company weekly Flash Reports
  • Daily reconciling Cash flow from BOA and Wells Fargo banks
  • Utilize bank reports to determine Company cash position based on previous days collections,and current day disbursements and report this information to the Treasury Operations Manager, to determine Company Cash Position
  • Maintain Excel workbooks that log all letter of credit charges and payments. Reconcile payments from different banks
  • Reconcile wire payments to Tradecard
  • Prepare daily Loan activity and inputs financial data into the Cash Forecast
  • Cash flow and balance sheet modeling to determine future borrowing base on the Senior Credit Facility
70

Regional Treasury Analyst Resume Examples & Samples

  • Maintain and monitor cash level and foreign currency exposure
  • Perform analysis on funding forecast and planning on company's liquidity
  • Act as a representative and work closely with international Bank and Clearance House
  • Responsible for APAC balance sheet and liquidity hedging activities
71

Treasury Analyst Resume Examples & Samples

  • Solid analytical and reconciliation skills
  • Excellent communication skills (Written and verbal)
  • Able to multitask efficient and effectively
72

ALM Treasury Analyst Resume Examples & Samples

  • Provide oversight of all Treasury functions within the business unit
  • Perform ALM / ALCO function
  • Assist in the Budgeting and forecasting
  • Oversee the accuracy and integrity of all accounting records for the business area
  • Ensure Financial control and compliance are adhered to inline with internal and country guidelines
  • Provide detailed MIS to management
  • Assist in new system implementation
  • Qualified Accountant with experience within the banking industry
  • 5-7+ years post qualification experience
  • Strong proven experience working with Treasury products and in a ALM/Treasury function
  • Experience within Financial Control, Business Planning, MIS, Reporting
  • Experience liaising with Senior Management
  • Private Bank experience preferred
  • Exposure to T24 system and distinct advantage
73

Treasury Analyst Resume Examples & Samples

  • 1-2 years of Banking or Treasury experience
  • Work with banks and / or cash management
  • Highly organized and detail-oriented
  • Ability to work in a dynamic, team-oriented environment
74

Treasury Analyst Resume Examples & Samples

  • Accountable for daily treasury operations or cash management activities (Treasury Workstation, Funding and/or Cash Modeling.)
  • Establish and maintain strong working relationships; serve as liaison to business units and banks
  • Research and resolve complex and escalated issues
  • May ensure trades are covered and allocate money between various company custody accounts
  • Advise and participate in the development, testing and implementation of system enhancements to Omniflow
  • Ensure maintenance to Treasury Workstation (AGI) and take escalated requests
  • Set up bank accounts, services and other banking needs for the business units
  • Review and approve wires and other transactions in various systems
  • Create, analyze and/or present reports
  • Identify efficiencies within procedures and/or systems and suggest useful alternatives and methods for continuous improvement
  • Position and invest short-term cash
  • May provide forecasting of available cash to portfolio managers in Aegon Asset Management for securities lending
  • Communicate effectively with co-workers, banks and business units
  • Provide strong customer service to internal/external customers
75

Treasury Analyst Resume Examples & Samples

  • Disciplined, organized and comfortable working to defined deadlines
  • 2-3 years of corporate treasury experience
  • Experience opening, maintaining bank accounts and documentation
76

Treasury Analyst Resume Examples & Samples

  • Administer the daily cash activity for VMware’s entities in Asia Pacific region, including China, Singapore, Australia
  • Initiate daily domestic and international funds transfers
  • Manage intercompany settlements
  • Administer VMware’s Asia Pacific’s global bank accounts, including setup of new bank accounts, approved access, and updating documentation and authorized signers as required
77

Treasury Analyst Resume Examples & Samples

  • Candidates should have at least 3 years of solid computer programming experience, including prior experience in database development
  • Applicants should have a basic knowledge of financial markets or fixed income portfolio management techniques
  • Strong knowledge of the financial system concepts, architecture and design and Finance business processes and procedures would be preferred
  • Good understanding of financial accounting policies, controls and procedures would be considered an asset
  • Experience in SQL Server /SSIS, database development and support is required
  • Experience in C# programming in .NET framework is required
  • Experience in MS Reporting Services and OLAP technology is an asset
  • Experience in GUI and management reporting development is required
  • Experience in SDLC, Source Control systems and system documentation are required
  • A post-secondary degree in mathematics, computing, or finance is required
  • The candidate must be a creative problem solver with strong analytical skills
  • The candidate should have an ability to meet deadlines and manage priorities, to work independently and with minimal supervision
  • The candidate must be a detail-oriented team player with excellent communication skills
78

Treasury Analyst Resume Examples & Samples

  • Maintain the financial model for long term financial projections
  • Develop and analyse the financial model
  • Business partnering with teams across the business
  • Monthly tracking and reporting treasury movements
  • Produce regular treasury reports
  • Qualified Accountant (ACA/CIMA or equivalent)
  • Strong working knowledge of SAP
  • Experience in a similar role and have gained solid analytical experience
  • Ability to business partner with various key stakeholders and work well under pressure
79

Principal Treasury Analyst Resume Examples & Samples

  • Monitor both short and long term interest rates, develop interest rate views, and create strategies to manage the Company's interest rate risk
  • Monitor debt capital markets and coordinate with our global banking partners to identify windows of opportunity for issuing long-term debt including leading the issuance of long term debt, obtaining internal approvals, and liaising with legal counsel, external auditors and accounting research
  • Manage daily liquidity through commercial paper issuance, working with the Company’s dealers to assess the market and set appropriate daily borrowing rates
  • Develop and monitor cash flow model, collaborating with planning and strategy departments, to create more accurate financing forecasts
  • Act as primary contact with financial institutions and credit rating agencies to provide consistent and appropriate financial information
  • Serve as expert resource to other Company departments, senior management, and other financial personnel by providing specific technical Treasury skills and knowledge (capital markets, interest rates, economic conditions and financial theory)
  • Minimum 5 years of experience in financial markets in roles of increasing responsibilities is required as well as an understanding of financial accounting principles and business statistics
80

Treasury Analyst Resume Examples & Samples

  • Performs highly complex analysis and other work assignments for one of the following departmental functions
  • BachelorÆs degree in Finance or Economics required. MBA or CFA preferred
  • Typically requires 5 - 7 years or more of Treasury-related experience in at least one functional area: Asset/Liability, Funding/Liquidity or Investment Portfolio. For those aligned to the Investment Portfolio function, experience with fixed income portfolio management and analysis with emphasis on mortgage backed securities required
  • Financial services / banking industry experience preferred
  • Strong analytical, modeling, and database skills and experience required. Experience with ALM modeling software required (QRM preferred) for those aligned to Asset/Liability function
  • Knowledge of Treasury & Funds Management, money markets, fixed income/capital markets, and derivatives
81

Lead Treasury Analyst Resume Examples & Samples

  • Performing a variety of ad-hoc analyses related to senior management balance sheet inquiries
  • Excellent use of Microsoft Excel as an advanced financial analysis tool
  • Excellent written and oral communication, interpersonal, and organizational skills are necessary
  • Intermediate understanding of bank balance sheets and knowledge of financial reporting systems
  • A high degree of comfort working with individuals from other areas of Finance
  • Knowledge of banking, finance, accounting, economics and budgeting/planning with a financial institution is also desired
82

Treasury Analyst Resume Examples & Samples

  • 2+ years of experience in a Treasury or Analyst position
  • Previous experience with Budgeting / Forecasting / Planning, Cash Management, General Ledger, and Reconciliations
  • Microsoft Excel proficient (Pivot Tables and V-Look Ups)
83

Treasury Analyst Resume Examples & Samples

  • Manage daily cash flow and cash forecasting models for domestic and international subsidiaries
  • Analyze investing and borrowing alternatives as needed
  • Assist with management of FX hedging programs; maintain schedules and reporting
  • Execute and manage all intercompany and producer share royalty programs globally
  • Prepare and provide weekly international cash summary reporting and analysis to Management
  • Assist with the maintenance of all banking records and associated systems and databases
  • Understand and identify opportunities to minimize foreign exchange exposure
  • Assist with treasury and cash management systems initiatives
  • Analyze and optimize bank service utilization
  • Assist in streamlining processes and procedures across the organization
  • Support Fox Entertainment group business units with cash management controls and all treasury and banking related issues, while liaising with banking reps
  • Act as lead and/or work in conjunction with Managers on projects
  • Maintain treasury policies and procedures
  • Assist with SOX compliance requirements as needed
84

Treasury Analyst Resume Examples & Samples

  • 1+ year of experience in Financial Services
  • Understanding of Treasury exposure to capital and balance sheet management or exposure calculations
  • Proven analytical skills and ability to work with large amounts of information
  • Excellent interpersonal skills and ability to communicate effectively upward/downward, and across functions
  • Ability to work under pressure in a dynamic environment
  • Experience / understanding of the following in addition to capital and balance sheet: Liquidity and Funding, Structural Reform, Financial planning and Analysis
85

Regional Treasury Analyst Resume Examples & Samples

  • Monitor the use of letter of credits
  • Work proactively with different countries to implement funding solution offered by banks
  • Review cashflow forecast to ensure the liquitidity level is accurate
  • Make recommend to management on different banking products
86

Treasury Analyst Resume Examples & Samples

  • Support the maintenance of the long-term planning model, including the production of the Enterprises capital plan on both a forecasted and actual basis. The candidate will also support running various scenarios to analyze the impact of debt issuance plans and business capital and liquidity needs, among other activities
  • Collaborate with Business Unit Treasury teams to analyze business unit Capital Plans and Capital Protection results
  • Support analysis of strategic opportunities, including potential M&A transactions, on the Companys capital position and other key balance sheet and profitability metrics
  • Support quarterly reporting to the Finance Committee of the Board of Directors on capital, liquidity and borrowing metrics
  • Support development of dividend and share repurchase recommendations for the Finance Committee of the Board of Directors
  • Knowledge of U.S. GAAP and STAT accounting concepts
  • Strong financial analysis and analytical skills
  • MBA or CFA (or currently pursuing) a plus
87

Treasury Analyst Resume Examples & Samples

  • Enterprise capital management & planning
  • Issuance of debt, equity and hybrid securities
  • Liquidity management
  • Support the Enterprise forecasting of business unit borrowings and the issuance of debt in the capital markets
  • Partner with business unit treasury teams and other corporate functions to ensure Enterprise borrowing is aligned with target leverage ratios and other balance sheet risk measures
  • Assist in the reporting of borrowing activities for quarterly GAAP & STAT disclosures
  • Complete analysis and reporting of affiliated and unaffiliated borrowing to senior management, rating agencies and regulators
  • Develop and implement enhancements to the Enterprise debt forecasting tool
  • Assist with assembly of borrowing & liquidity related reporting for senior management and regulators
  • Develop and maintain documentation around Prudentials borrowing & liquidity frameworks, philosophies, and procedures
  • At least 2-3 years work experience in finance, accounting or treasury field preferred, including some management experience
  • MBA or CFA a plus
  • Solid interpersonal skills and ability to interact with all levels of senior management
88

Fm Treasury Analyst Resume Examples & Samples

  • Model potential transactions in the bond, debt, or derivatives portfolios
  • Meet with dealers and brokers to discuss potential transactions and strategies
  • Develop presentations of analysis results. Present results to senior managers in Funds Management and Executive Management as appropriate
  • Master's of Business Administration (MBA) or equivalent education and related training
  • Ten years Banking Experience
  • Five years experience in Asset/Liability Management including 5 years of experience in financial analysis
  • Two years supervisory experience
  • Ability to interact at all levels of management
  • A comprehensive understanding of general accounting rules and regulations, accounting as it relates to bond portfolios, derivatives and corporate debt (including repurchase agreements), Regulatory Accounting Practices for financial firms, banking procedures and processes, and a thorough understanding of computer/automated general ledger systems
  • Comprehensive knowledge of financial forecasting techniques, finance theory and application, discounted cash flow analysis, Economic Value of Assets (EVA) and Economic Value of Equity (EVE) analysis
  • Chartered Financial Analyst strongly preferred
  • Full understanding of the Net Interest Income forecasting processes
  • Thorough understanding of quantitative interest rate risk management concepts
  • Advanced competency in Excel, Access, and PowerPoint
  • Advanced competency in SAS
89

Treasury Analyst Resume Examples & Samples

  • Support Planning/Forecast process by reviewing line of business input, evaluating consolidated results, reporting standard and ad hoc information and creating projected Funds Transfer Pricing rates
  • Assist Treasury management in completing consolidated forecasts by providing research and input on strategic goals, funding alternatives, investment levels and interest rate risk appetite
  • Participate as team member on planning and forecasting enhancement projects
  • Analyze and report monthly balance sheet, interest income, interest expense and margin results to management, highlighting business trends, outcome drivers and unusual or new transaction impacts. This includes interaction with other Finance, operations and business areas to build relationships as a resource to gain an understanding of business activities driving monthly results
  • Assist in senior management’s preparation for external analyst calls in conjunction with quarterly Earnings Releases, which includes the study of industry trends, current topics impacting the banking institutions, and gaining knowledge regarding Key’s business and product strategies
  • Assist Treasury’s Interest Rate Risk group by identifying balance and rate trends, accounting/business issues and model enhancements
  • Maintaining current awareness of market and economic conditions
  • Developing competence in interest rate risk measurement technologies and asset/liability management concepts, and staying abreast of developments in economics, statistics, securities and financial derivatives
  • Bachelor's degree is required, with a concentration in finance or accounting preferred
  • Fundamental understanding of bank balance sheets
  • 1+ years of financial industry experience
  • Understanding of a wide range of commercial banking products, including non-maturity deposits, retail and commercial loans, and mortgage products
90

Treasury Analyst Resume Examples & Samples

  • Review our performance bonds to ensure we are in compliance with exchange requirements. Also, make sure we are in compliance with the new funding guidelines regarding excess cash balances allowed with carrying brokers. Pledge collateral if a shortfall occurs
  • Perform the Treasury function which consists of managing the day to day cash flow of the Futures Clearing Group, investing excess capital as approved by upper management, and also Buy/Sell treasuries and foreign currencies as requested by clients and affiliates. Make sure the investing of excess capital is within the new guidelines that cover the investment of funds in Money Market funds/ Treasuries and any new regulations that will come into play
  • Input wire transfers into the banking system. Release wires where required
  • Perform the customer service function including reconciling client trades, positions, money balances, margin calls and collateral
  • Assist in the maintenance of the Rolfe and Nolan system for client service and treasury functions
91

Treasury Analyst Resume Examples & Samples

  • B.S./B.A. Degree in Accounting/ Finance or equivalent
  • Processes professional qualification (e.g.: CFA, HKICPA, or FRM preferred)
  • 3+ years of relevant experience, exposure in financial institutions preferred
  • Strong product knowledge in treasury market
  • Detailed oriented and able to work under pressure, with excellent numerical sense
  • Excellent communication and management skills when dealing with professional personnel
  • Good spoken and written English and Chinese communication skills, conversational Putonghua preferred
  • Chinese reporting writing skill is a plus
92

Junior Treasury Analyst Resume Examples & Samples

  • Running various Liquidity and Funding models: Basel III related, internal UBS models and used for US operations for local stress testing
  • Preparing input data used for the calculation of models and running the calculation engine
  • Producing various reports and conducting financial analyses e.g. balance sheet, cash flows
  • Testing the reporting tools when new functionalities are implemented by Group Technology
93

Treasury Analyst Resume Examples & Samples

  • Bachelor's Degree in finance or accounting
  • 3+ years of full time financial job related experience, inclusive of treasury/cash management experience
  • Demonstrated Problem solving and analytical skills
  • Ability to work independently and manage multiple priorities and concurrent deadlines
  • Must be able to produce excellent quality work that is thorough and accurate
  • Strong interpersonal, customer service and verbal and written communication skills
94

Treasury Analyst Resume Examples & Samples

  • Prepare the Treasury Report package, including daily cash, 13 week rolling cash forecast, 13 week rolling borrowing base, investments, FX transactions, and letters of credit
  • Help to improve and maintain the global bank account structure, its websites and applications
  • Monitor and report on the company’s FX exposure and transactions
  • Work together with the Accounts Payable Department to monitor and maintain the company’s Corporate Credit Card Program
  • Prepare the Borrowing Base Certificate report on a monthly basis
  • Partner with E-commerce, IT, and Finance to monitor and improve Decision Manager’s efficiency in combating fraud
  • Monitor and improve cost related to credit card, bank transfer, Paypal, and banking transactions
  • Contact our Credit Card Processor, Gateway and Payment Providers when necessary
  • Participate in the Insurance policies’ review, data gathering for renewal, and claims process
  • Support the Retail Department on the stores opening process by helping on the implementation of credit card processing, cash logistics and insurance
  • Assist the Accounting team in resolving unreconciled items
  • Document and maintain the Treasury Department’s policies and procedures
  • Provide audit support, gathering the necessary information on requests and selections
  • Bachelor’s degree in Finance, Accounting, or Business
  • Basic understanding of cash forecasting, investments, debt and covenants, hedging, and banking
  • Experience with bank, e-commerce, and enterprise websites and applications
  • Excellent oral and written communication skills
  • Self-starter with a strong sense of urgency
95

Treasury Analyst Resume Examples & Samples

  • Identify and calculate Balance Sheet and Cash Flow exposures
  • Analyze and reconcile monthly results and provide attribution of FX gains and losses
  • Ensure continued compliance with all regulatory requirements (eg. Dodd-Frank)
  • Work closely with General Ledger accounting to ensure foreign exchange results are properly accounted
  • Assist with implementation of Treasury Management System
  • Serve as back-up for other treasury activities including stock repurchase program
  • Other ad hoc Treasury projects and duties as necessary
96

Treasury Analyst Resume Examples & Samples

  • A Bachelor’s degree in Accounting or Finance from a reputable four-year university
  • Three or more years of treasury experience
  • Strong systems skills including Microsoft Excel, SAP, and Hyperion
  • Excellent communication skills and an ability to meet deadlines in a team-oriented environment
97

Treasury Analyst Resume Examples & Samples

  • 2 to 4 years related treasury, finance or accounting experience
  • Possess a BS/BA degree (finance, accounting or economics preferred)
  • Demonstrate knowledge of treasury, cash management and accounting principals
  • Demonstrate strong analytical, organizational and problem solving skills with strong attention to detail
  • Flexible, resourceful, a can-do service oriented attitude
  • Well-organized ability to prioritize and multi-task in a busy, dynamic and ever-changing environment
  • Advanced skills in Microsoft Excel, and proficiency in Word and PowerPoint
  • Experience using SunGard Quantum treasury management system preferred
98

Treasury Analyst Resume Examples & Samples

  • Complete tasks related to the overall Treasury Transformation Project Plan
  • Lead Interactions with local country contacts for requirements gathering
  • Interact with bankers during projects when new products and services are required to be implemented
  • Review/ monitor daily cash positions and Investment Portfolio cash reporting
  • Keep Cash Desk accurate through checking and reconciling balances
  • Reconcile daily BAI/SWIFT/Other cash to forecast data at the portfolio level
  • Lead development and maintenance of portfolio cash flow reports
  • Daily communications with countries on forecast of inflows and outflows
  • Determine daily bank transfers required to support operational and investment activity
  • Process EFT's for funding requirements on Investment, A/P, Payroll, TPA, transactions
  • Support Global Funds Transfer process for EMEA
  • Coordinate short term investments as required (Time Deposits, Liquidity Funds, etc), maximizing returns while remaining within policy guidelines
  • Coordinate and develop relationships with shared service centers, Lines of Business, and Subsidiaries by providing effective banking tools to help reduce bank service fees and improve the efficiency of operations and cash management
  • 3+ years of treasury operations and/or cash management experience
  • Insurance, banking or other financial services industry experience preferred
  • Experience with treasury workstation software, general ledger accounting, insurance operations applications and investment management systems preferred
  • Project management skills and ability to multi-task
  • Self-starter with ability to run with task
99

Treasury Analyst Resume Examples & Samples

  • Responsible for daily global cash positioning and forecasting
  • Produce and distribute cash flow forecast daily, weekly, and monthly
  • Identify and communicate any operational liquidity risks
  • Initiate and process electronic payments
  • Assist in the ongoing maintenance and development of established Excel based cash flow model
  • Ability to translate model output using decision analysis into terms that facilitate rapid and informed management choices
  • Analyze and reconcile all daily receipts and disbursements activity; identify and resolve any bank activity issues
  • Assist with the management and administration of bank accounts including account integration subsequent to acquisition activity
  • Collaborate and maintain relationships with external banking partners
  • Maintain signatory and functional documentation for all bank accounts
  • Analyze bank fees to find cost-saving opportunities
  • Manage letters of credit, evaluate credit exposure, monitor fees, and process renewals
  • Assist with the monthly debt compliance certificate and covenant calculations
  • Assist with the annual renewal of all corporate insurance policies
  • Prepare and maintain the monthly Treasury dashboard
  • Analyze, manipulate, test, and validate large data files; design, build, and implement customized reports on an ad hoc basis
  • Collaborate cross-functionally with internal partners to evaluate and re-engineer current processes where necessary
100

Treasury Analyst Resume Examples & Samples

  • Direct support for the regional Treasurer in advancing Treasuries strategic objectives and priorities within APAC
  • Broad stakeholder management responsibilities across a diverse set of stakeholders regionally & globally, across Treasury, Business & Shared Services as well as with external stakeholders such as regulators, central banks, rating agencies and internal stakeholders on a range of Treasury related topics such as liquidity, funding, FX and risk
  • A pivotal role in ensuring APAC is well connected within the global Treasury team – to leverage and share information, ideas, best practices and experiences
  • A unique opportunity in ensuring APAC Treasury is positioned to support the regional growth plans
  • Coordination of, and participation in, key Treasury governance processes
  • A collaboration role within Treasury – to ensure the country treasurers and functional specialists are in synch
  • Development of appropriate and best-in-class MIS and reporting, supported by robust standards and controls for the APAC Treasury team
  • Development of a framework within Treasury for managing the relationship and flow of information with the APAC regulators on Treasury related matters (e.g. liquidity, capital)
  • Identifying and driving optimization opportunities within Treasury
  • Opportunities to support the broader regional Treasury team on ad hoc initiatives and projects as required
  • A University degree or an equivalent educational background
  • Minimum 5 years of relevant financial industry experience
  • Strong interpersonal and collaboration/stakeholder management skills, with strong client focus
  • Ability to understand, assess & convey complex issues in a straight-forward and concise manner
  • Out of the box thinker, ability to develop concepts and ideas, with strong attention to detail
  • An understanding of relevant areas of the global / regional regulatory environment
  • Investment banking and private banking business knowledge preferred
  • A project management background would be advantageous
  • Pro-active attitude, with the ability to work autonomously if required see multiple tasks through to completion
  • Excellent working knowledge of Excel and PowerPoint
  • Team spirit and experience in a global environment
101

Treasury Analyst Resume Examples & Samples

  • Assist the bank with the implementation of the global structural reform initiatives, including Dodd Frank Section 165, in the development of firm strategy in response to these initiatives
  • Work directly and coordinate with a global cross-functional stakeholder community to assess current business processes and determine how these can be improved (e.g. business process re-engineering, new technologies, minor adjustments to existing process)
  • Support the development of future state business processes as well as the required activities to achieve the target end state
  • Determine and document business requirements and working with project stakeholders for prioritisation recommendation
  • Define functional requirements, which reflect the business requirements and develop approaches to enable them to be delivered via process changes / technology solutions
  • Develop approaches and tools to test new solutions and business processes prior to use
  • Coordinate test planning and end-user testing of newly built processes
  • Identify and escalate as appropriate issues that may arise during the various stages of the change process (i.e. from analysis and design through to adoption)
102

Treasury Analyst Resume Examples & Samples

  • Analysis and Reporting
  • BS in business, finance, accounting, or economics required
  • 2 to 4 years’ experience in a large corporate treasury department preferred
  • Certification (CTP) by the Association for Financial Professionals preferred
  • Proficiency in MS office (Excel, Word, PowerPoint) and cash/bank management systems and treasury workstation experience a plus
  • Able to work independently and work in a multi-tasking environment
  • Flexible, team player
  • Strong desire to develop finance/treasury knowledge, both theoretical and practical
  • Highly organized with a strong attention to detail
103

Treasury Analyst Resume Examples & Samples

  • Provide monthly payment reporting
  • Conduct monthly bank fee analysis
  • Provide lease analysis (capital vs operating)
  • Provide FX exposure analysis
  • Prepare and maintain the cash flow forecast
  • Prepare annual budgets and monthly reporting
  • 2-4 years’ related experience
  • Advanced Excel skills, PowerPoint and Word
104

Treasury Analyst Resume Examples & Samples

  • Forecast cash flow position, related borrowing needs and available funds and track cash positions/sources and uses on a daily basis
  • Create and continually update management reporting to enhance the understanding of the funding process and opportunities
  • Manage daily margin calls from dealers, confirming calculations and executing the related wires
  • Update and distribute regular treasury management reporting at daily, weekly, monthly intervals of scheduled reporting
  • Monitor monthly debt covenant compliance
  • Create monthly sources and uses of cash flow statements for board reporting
  • Assist in the execution of all debt and equity capital raising transactions. Develop a deep understanding of the related terms, process, and covenants
  • Ensure excess funds are optimally invested and that use of funds is organized to develop liquidity and low cost of funds
  • Three (3) + years' experience in Finance, Accounting, Capital Markets or Treasury
  • Above average ability in the use of Microsoft Office software, including Outlook, Word and particularly, Excel
  • Proficient experience in financial modeling
  • Ability to interface with all levels within the organization
  • Customer service driven; responsive to client issues and concerns
  • Ability to handle multiple tasks simultaneously
  • Ability to perform tasks and complete projects with minimal supervision
105

Treasury Analyst Resume Examples & Samples

  • Global cash management: Daily cash positioning in the Americas; support daily international cash funding and foreign exchange trading for the In-House Bank
  • Investment management: Daily investments for LS& Co and In-House Bank
  • Prepare and manage weekly 13-weekconsolidated cash flow forecast
  • Debt Operations: Manage ABL reporting; support yearly ABL audit; support issuance of Letters of Credit
  • Monitor and ensure compliance with, policies, procedures and operational controls related to global cash management; including SOX compliance
  • Support & facilitate month/quarter-end accounting and reporting for treasury transactions
  • Work across departments and foreign affiliates and advise on banking related matters
  • Support Retail Banking for Levis Only Stores
  • Support initiatives and system projects involving the management of global cash resources
  • Assist in other treasury projects as directed
  • Bachelor degree required (Finance preferred)
  • Minimum 1-3 years of experience in treasury operations: cash management and cash forecasting
  • Solid financial analysis skills and basic accounting knowledge
  • Prior experience preferred on system implementation: SAP and/or treasury workstation
  • Ability to take responsibility in the form of objectives and determine how to use resources to meet schedules and goals
  • Must have initiative, be a self-starter, able to work in a fast-paced and changing environment, and handle multiple priorities and deadlines; proven project management skills
  • Mobility: This position requires capability and availability to travel to the San Francisco Corporate Office (as needed)
106

Treasury Analyst Resume Examples & Samples

  • Lead in the development, implementation and testing of origination reporting that measures and monitors risk adjusted returns of newly generated business for all Consumer products relative to KeyCorp’s hurdle rates
  • Prepare monthly reporting package. Work closely with the Line of Business to provide portfolio performance data for use in the pricing process
  • Maintain validation of pricing models, reviewing and testing methodology and assumptions used in the models
  • Document reporting process/programs and data collection process/programs. Identify, update, record and communicate when required/appropriate the underlying assumptions changes within the models
  • Identify and research application system issues, develops solutions and ensures compliance
  • Special analysis projects as assigned by supervisor. Interactions/Liaisons/Interfaces: The position also interfaces regularly with the Accounting Group, Finance line of business support, Product Management, and the Planning & Forecasting Group on topics to understand balance sheet trends and assist in the planning/forecast process
  • Maintaining current awareness of market and economic conditions. -
  • Performing a variety of ad-hoc analyses related to senior management inquiries
  • Understanding management’s balance sheet goals and revenue goals
  • A Bachelor's degree is required, with a concentration in finance or accounting preferred
  • Understanding of a wide range of consumer and commercial banking products, including non-maturity deposits, retail and commercial loans, and mortgage products
  • Familiarity with SAS, SQL, and relational database languages and concepts
107

Secured Treasury Analyst Resume Examples & Samples

  • Work closely with both internal and external parties including business partners, ratings agencies, bank counterparts, legal counsels, and investors to facilitate the execution of funding activities
  • Work to continually improve modelling and reporting
  • Provide support for ad hoc reporting as necessary to assist senior management
  • To ensure ongoing adherence to all relevant compliance regulations
  • Working independently and managing tight timeframes to support numerous work streams and manage multiple parties to complete projects on specified deadlines
  • Educated to degree level in Investments, Finance or similar/equivalent
  • Experience within a corporate treasury/finance, banking, auditing or accounting environment; ideally with demonstrable knowledge of the capital markets
  • Strong analytical skills and excellent attention to detail with the ability to communicate with internal and external parties effectively
108

Bank Treasury Analyst Resume Examples & Samples

  • Asset-liability and interest rate risk management analysis
  • Development of liability strategy (including secured and unsecured funding programs) and participating in liability raising activities
  • Developing financial models and analyses to support strategic initiatives and stress testing
  • Creating, evaluating, and reviewing new business plans and initiatives
  • Monitoring emerging regulatory trends in treasury-related matters
  • Competitor analysis
  • Assessing Bank capital structure and mix of capital instruments in the Bank
  • Interpret and respond to new regulations that have an impact on liquidity, funding and/or capital
  • Prepare analysis for executive, management committee and board meetings
  • Knowledge of treasury, general finance principles, commercial banking industry and ALM structure/funding models of the US banking sector preferred but not required
  • Experience in a related financial analysis role, prior FIG investment banking experience helpful
  • Strong analytical, quantitative, and technical abilities
  • College degree with a major in Finance, Economics or related business major
  • Excellent written presentation and verbal communication skills
  • Strong organizational and multi-tasking skills essential
  • Proficiency in Microsoft Office Products (Excel, Powerpoint and similar products)
  • Ability to work on own initiative, without supervision and demonstrate versatility and flexibility
109

Treasury Analyst Resume Examples & Samples

  • Bachelor's Degree in Finance, Accounting, or Business or equivalent work experience
  • 3+ years prior experience in a treasury, accounting, or financial planning & analysis role
  • Familiarity with Bank of America Cash Management System
  • Strong interpersonal skills with the ability to develop both internal and external relationships
110

Treasury Analyst Resume Examples & Samples

  • Maintain and help to further develop the capital planning and the liquidity risk management tools used to manage the adequacy of Northern Trust capital and liquidity positions in EMEA
  • Assist with the preparation of ICAAPs, ILAAP document and annual capital plans that the subsidiaries of the region are required to prepare
  • Coordinate the annual update of the contingency funding plans (CFP) and liquidity stress testing exercises for the relevant legal entities in the region
  • Work closely with business units and other support areas, evaluate new business initiatives and internal reorganisations to ensure the potential capital and liquidity adequacy implications are fully articulated and clearly understood by the key stakeholders
  • Assist with the analysis and implementation of regulatory initiatives at the Basel, EU and local levels that impact capital and liquidity adequacy
  • Sound prudential knowledge gained through a treasury, regulatory policy or regulatory reporting background
  • Experience in ICAAP/ILAA process
  • Familiarity with Basel II / III highly desirable
  • Strong IT skills, notably Excel, PowerPoint and Word
  • Ability to organise, manage and prioritise work in order to deliver to tight deadlines
  • Ability to partner effectively with peers, senior management, and overseas partners
  • Investigative and questioning nature
  • Focused stakeholder relationships
111

Treasury Analyst Resume Examples & Samples

  • Participating in independent and group projects related to cash management initiatives
  • Perform back-up responsibilities for Cash Management Desk functions
  • Support the Cash Management Desks providing accurate daily cash position figures based on business unit forecasts, investment forecasts and historical trends
  • Making investment related decisions based on forecasts and trends
  • Reconciliation and analysis of forecasted vs. actual activity in investment and operating accounts
  • Thorough review and approval of wires, desk deliverables, and area reporting
  • Address and resolve operational issues with the business units and banks in a timely manner
  • Identify and recommend operational efficiencies, and areas to reduce risk and errors
  • Execute and support projects in a complete and timely manner
  • Support the Business Units and BU Treasury Teams to facilitate various finance initiatives
  • Accurate and timely completion of daily, weekly and monthly reporting
  • Support the process of creating documents and support for the scheduled audit, SOX, Risk reviews and requests
  • Consulting with various Prudential businesses to improve cash processing flows, cash forecasting and bank account structures
  • Updating procedures and workflow documentation as needed
  • Adherence to company policy and governance processes
  • Fast paced
  • Frequent interaction with various personnel levels within the Enterprise and Prudentials banking network
  • Bachelors Degree Required - Finance, Accounting, Economics, or Business Administration majors preferred
  • MBA a plus but not required
  • Minimum 3 -5 years related work experience in investment operations or finance
  • Excellent oral and written communication skills to effectively communicate with business partners, banks and external service providers
  • Ability to conduct financial analysis for Prudentials business units (i.e. trending and identification of cyclical patterns, variance analysis, cost benefit analysis, etc.)
  • Solid organizational skills and the ability to manage multiple tasks to maintain an efficient processing environment
  • Good problem solving and decision making skills to respond to inquiries and processing issues in a timely manner
  • Ability to apply sound business principles and practices to daily production activity and projects
  • Strong interpersonal skills to build relationships within Treasurers and with business partners and banks
  • Demonstrate flexibility to assume other area assignments in the future as the staff is periodically rotated
  • Ability to work well under pressure and meet tight deadlines in a team environment
  • PC and spreadsheet experience preferred (MS Office including Excel and Word)
112

Treasury Analyst Resume Examples & Samples

  • Reconcile cash and/or security differences between internal systems and/or custodians
  • Monitor and clear exception items from the reconciliation system
  • Respond to queries from internal and external entities in a timely manner
  • Ensure unresolved problems and issues are promptly escalated
  • Analyze and research cash and/or security exception items, and identify any trends
  • Coordinate resolution of cash and/or security exception items in a timely manner though use of effective communication skills
  • Recommend ways to minimize the reoccurrence of the exception items, for example through: system enhancements, process changes or policy changes
  • Complete tracking for own IPP
  • Work on special projects as assigned, such as participation on an enhancement recommendation, process changes or user acceptance testing
  • Assist with maintaining up-to-date department procedures
113

Treasury Analyst Resume Examples & Samples

  • 5+ years of treasury operations and/or cash management experience
  • Strong FX, neeting and cash pooling experience
  • Experience of EMIR reporting and MTM valuations is an advantage
114

Treasury Analyst Resume Examples & Samples

  • Running various L&F models: Basel III related, internal UBS models and used for US operations for local stress testing
  • Producing various reports and conducting financial analyses
  • Maintaining a comprehensive documentation of the processes, analyzing the results in various dimensions and providing insightful comments
115

Treasury Analyst Resume Examples & Samples

  • Analyze, identify and report trends in a timely manner
  • Recommend ways to minimize the reoccurrence of any exceptions noted
  • Work with other team members in resolving non-routine problems and escalate supervisor and/or manager
  • Bachelor’s degree in Business or equivalent experience, in Business, Accounting or Finance preferred
  • 1 to 3 years of Treasury\Banking Operations experience, preferably in a global company
  • Financial Accounting/ Business management
116

Treasury Analyst Resume Examples & Samples

  • Daily cash consolidation, reporting on cash operations, short term forecasting, determining daily cash balances available for investment, initiating wire transfer and ACH payments to vendors and service providers and executes stop payment of checks at request of Accounts Payable
  • Performs analysis of borrowing requirements
  • Works with banks to open and close bank accounts, as needed; perform regular review of all bank accounts to ensure they are accurate and audit ready
  • Responds to auditor requests for information on debt and other cash activities
  • Works with various banks in monitoring and making any change to letters of credits including tracking and payment of fees
  • Oversees or coordinates treasury product implementations
  • Ensures compliance with internal controls, policies and procedures in day-to-day conduct and supervision of cash management activities
  • Recommends and implements improvements to current cash management processes
  • Manages merchant services, i.e. tracking of credit card equipment, troubleshooting w/locations and merchant services provider
  • Minimum of five years cash management experience
  • Knowledgeable treasury, credit and debt management and banking practices
  • Knowledge of business mathematics, statistics and accounting practices
  • Proficiency in Microsoft Office Suite and an enterprise resource planning (ERP) program
117

Treasury Analyst Resume Examples & Samples

  • 3+ years of Treasury / Cash Management experience
  • Bachelor’s Degree in Accounting, Finance or other business major
  • Knowledge of Treasury Management Systems
  • Microsoft Office/Suite proficient (Excel and PowerPoint)
118

Treasury Analyst Resume Examples & Samples

  • Bachelor’s Degree in Finance, Accounting or Economics
  • Certified Treasury Professional (or willingness to sit for exam)
  • 1-3 years corporate finance experience in a global company
  • Demonstrated Microsoft Excel skills including pivot tables, lookups and macros
  • Foreign Exchange experience preferred
  • SAP experience preferred but not required
119

Treasury Analyst Resume Examples & Samples

  • Create and analyze Expense Budgets for fixed expense categories. Research budget changes and payment fluctuations each month and propose daily accruals and adjustments
  • Update and review Expense and Payable Analysis spreadsheets for assigned group of mutual funds
  • Monitor variable expenses and expense caps to ensure accruals are set per the agreements and be able to perform pro-forma variable fee calculations, if fee structure changes
  • Ensure that fund accruals/payments have been posted as instructed
  • Be able to perform expense ratio calculation and trend analysis
  • Assist management on ad-hoc projects related to various types of expense analytics such as new products, mergers, liquidations, fee structure changes and the like
  • Assist management in documenting Expense Group processes and policies
120

Treasury Analyst Resume Examples & Samples

  • Reconcile cash and/or positions between internal systems and custodians
  • Analyze and research cash and/or position exception items
  • Coordinate resolution of cash and/or position exception items in a timely manner though use of effective communication skills
121

Treasury Analyst Resume Examples & Samples

  • Maintain global cash flow forecast models for leadership team
  • Provide queries from ERP/Hyperion/RMS systems as needed
  • Provide required reporting for asset backed credit facility
  • Create entries and maintain documentation for Foreign Exchange hedging program
  • Oversight of daily wire transfers and automated GL process in Treasury Workstation
  • Oversight of daily cash/investment reporting to leadership team
  • Maintain short term investment portfolio, insuring liquidity as needed
  • Provide backup support for other Treasury members
  • Provide support in creating Powerpoint presentations for team members
  • BA/BS Degree in Economics, Finance or Accounting
  • Treasury/Banking experience preferred
  • Strong communication skills (both oral and written)
  • Analytical and conceptual thinking skills
122

Treasury Analyst Resume Examples & Samples

  • Bachelor’s degree in business related major or equivalent experience,
  • Experience in back office operations (mutual fund industry preferred, but not essential)
  • Fluent knowledge of English (spoken and written),
  • Computer skills with experience working in a Windows environment,
  • Strong analytical skills with a keen eye for details,
  • Very good organizational skills,
  • Ability to prioritize workload and meet deadlines,
  • Self-reliance and self-discipline at work,
  • Ability to work with a small team within a global environment,
  • Good communication skills and ability to effectively tailor communication with a diverse range of business partners
123

Treasury Analyst Resume Examples & Samples

  • Prepare and distribute Treasury reports
  • Reconcile weekly and monthly bank statements
  • Prepare the forecasts
  • Cashflow forecasting
  • Payments processing
  • Ad-Hoc analysis and reporting
  • Relevant experience in a similar role
  • Experience in reconciliations
  • SAP experience desirable
124

Business Treasury Analyst Resume Examples & Samples

  • CEEMEA Interest rate risk hedging – GOT framework for Local currency
  • College or University Degree
  • 2 years Treasury and/or Finance function experience
  • Expert MS Excel, MS Access user, PowerPoint. Comfortable with macros, VBA coding
  • Comfortable communicating
  • Innovative and creative
  • Interest in understanding the back-office activities of the bank that have a direct impact on risk management, pricing decisions and stability of NIM
125

Treasury Analyst Resume Examples & Samples

  • Perform cash identification for direct investments
  • Perform outstanding buy deals manual settlements utilizing the Global Payment Solution system
  • Execute return or funds instructions for unidentified amounts
  • Process Regular Savings Plans/ACH automated files transfer release to JP Morgan Chase bank mainframe
  • Follow up on Regular Savings Plans/ACH rejections and process redrafts upon Transfer Agency instructions
  • Follow-up on overdue unpaid buy deals in conjunction with International Transfer Agency stakeholders and bank partners
  • Investigate unidentified receipts by contacting banking partners and other departments as required on a daily basis
  • Execute book and bank payment activity balancing controls and address discrepancies
  • Process end of day payments validation controls
  • Prepare reports by collecting, analyzing, and summarizing information
  • Organize and maintain archive records and electronic data
  • Monitor cash balances in order to minimize debit interest and bank charges accruing on overdrawn positions
  • 1 - 3 years of experience in cash settlement back office operations (mutual fund industry preferred, but not essential. Other sectors will be considered - financial or private)
  • Experience with back office banking operations or banking software – JP Morgan Chase applications would be a plus
  • Ready to work from 1:00 pm - 10:00pm
126

Treasury Analyst Resume Examples & Samples

  • The Treasury Analyst will also be responsible for aspects of collateral and portfolio reconciliation activities as deemed appropriate
  • Key activities of the position include timely and accurate confirmation of Treasury transactions, strong relationships with Coca-Cola counterparties for issue resolution, deep understanding of treasury transactions and the aspects of those transactions that drive valuation, deep understanding of Treasury Management System and how transactions flow within the system, and strong financial analysis skills
  • The Treasury Analyst will have both sound financial analysis skills and excellent business acumen; being a valuable, informed, and engaged partner to other Treasury staff. Additionally, the Treasury Analyst is expected to continually evaluate workflow processes and make specific improvement recommendations
  • The analyst draws upon strong analytical skills and experience to support management with special projects, create new models to adapt to changing business environment, bank fee analysis, treasury transaction analysis
  • Market Operations -- Knowledge of financial market operations (i.e. Forwards, Spots, Swaps, Options, Investments) and the key aspects affecting valuation
127

Treasury Analyst Resume Examples & Samples

  • Assists and performs CCAR and DFAST production runs to forecast balance and non-interest income and expense, including remediation of FDIC and FRB findings
  • Builds processes and tools necessary to support regulatory stress testing, including those for calculating Weighted Average Benchmark, QRM data upload to Hyperion, etc. Ensures these processes are efficient, repeatable and error-free
  • Validates and reconciles data in various systems. Works with LOB partners and/or external vendors on data definitions; collects and validates data for modeling and benchmarking purposes; finds solutions to bridge potential data gaps
  • Works with Financial Technology partners and the Planning team to develop system solution to handle balance roll forward and data transfer for key stake holders in the stress testing process
  • Creates and polishes to perfection presentation materials that are used for decision making in the Financial Forecasting Group. Automates generation of materials where appropriate
  • Conducts independent reviews (IDR) of statistical and qualitative model implementations
  • Shepherds models through the model validation process. Ensures on-time completions of independent reviews by interfacing with model developers, model owners and validators to ensure on-time completion of model implementations and independent reviews
  • Writes technical documentation for statistical and qualitative models, model implementations
  • Uses statistical concepts to review large volume of data for anomalies, and recommends remedial actions
  • Works with LOB partners and modelers on modeling approach, assumption; becomes SME on data and business characteristics for subject portfolios and develops statistical and qualitative predictive models to be used for CCAR Stress Testing
  • Bachelor’s Degree in Finance or Economics
  • Master’s/Advanced Degree in Finance, Economics, Mathematics, Physics or Engineering Preferred
  • Requires advanced knowledge of job area typically obtained through advanced education combined with experience. May have practical knowledge of project management
  • Familiarity with financial modeling
  • Familiarity with GAAP and IAS/IFRS accounting rules as they apply to Bank investment portfolios
  • Familiarity with Bank regulatory guidelines
  • Commercial banking experience is a plus, familiarity with commercial banking products and processes is a plus
  • Knowledge of stress testing and regulatory requirement for banking industry is a plus
  • Ability to understand large volumes of multi-dimensional data, and manipulate it with SQL and VBA
  • Ability to quickly process and internalize large volumes of information, such as regulatory guidance documents and model documentation
  • Expert level Excel skills, including
  • Expert knowledge of advanced Excel features, such as array formulas and multi-dimensional lookups
  • Ability to write robust, readable and re-usable VBA code
  • Experience tracing data lineage over multiple Excel worksheets and files
  • Expert in Excel charting
  • Appropriate personality and character, including
  • Ability to work well with others in a dynamic, team-oriented environment
  • Appreciation of a tight control process, ability and willingness to clearly document tools, results and other products of work
  • Open mind and ability to quickly assimilate and understand unfamiliar information; and willingness to help and take assignments outside of the immediate area of responsibility
  • Ability to create innovative solutions
  • Ability to deal with changes, ambiguity, and uncertainty
  • Organized and attentive to detail
  • Self-starter and highly motivated. Able to manage multiple products, and effectively prioritize workload when dealing with multiple deadlines
128

Treasury Analyst Resume Examples & Samples

  • Bachelor’s degree in Business (Finance preferred) with at least 1 year of relevant experience
  • Advanced degree/MBA is beneficial
  • Willingness to obtain Series 7 licensing within agreed upon time
  • Willingness to obtain Bloomberg certification
  • Attention to detail, accuracy and reliability with a drive for continuous improvement
  • Strong written and verbal communications skills with the ability to work effectively as a team player
  • Produces high quality, timely and accurate work output
  • Organizational and time management skills with the ability to work independently, complete multiple concurrent responsibilities, proactively communicate and take initiative
  • Problem-solving and analytical skills with the ability to take ownership as needed with a desire for continual learning
  • Anticipate client needs and provide superior service
  • Gathers appropriate information to identify and recommend process improvement opportunities
  • Proficient in Microsoft Office products with an emphasis on Excel
129

Treasury Analyst Resume Examples & Samples

  • Document and execute Stress Testing Processes and Produce Stress Testing Reports
  • Manages Bank governance and regulatory stress testing submission documentation requirements
  • Documents internal Effective Challenge Discussions
  • Processes monthly ALM model and reporting
  • Performs other job-related duties or special projects as assigned
  • 2-3 years in a financial analysis role in a financial institution
  • CFA or MBA strongly preferred
  • Excellent verbal and communication skills
  • Programming and/or Database skills highly preferred
130

Treasury Analyst Resume Examples & Samples

  • Managing flow of funds for lending structures. Ensuring processes align to contracts
  • Efficient cash management and forecasting
  • Report on funding activities
  • Liaise with external funding parties as necessary
  • Align with business lending team to ensure funding supports their activities
  • Extensive experience in calculations of waterfalls, note holder payments, ongoing monitoring and investor reporting over a period of at least 5 years
  • Extensive experience in cash flow management
  • Strong understanding of legal documents
  • Degree in finance, accounting, actuarial services desirable
131

Treasury Analyst Resume Examples & Samples

  • 1-4 years of related experience
  • FX experience
  • Proficiency with computer platforms and applications, particularly Excel
  • Demonstrated foreign exchange skills
132

Treasury Analyst Resume Examples & Samples

  • Manage daily treasury/banking activity for all assets
  • Daily reconciliation of activity
  • Monitor daily bank account balances for all accounts and notify senior management of problems in advance
  • Perform daily wires, ACH transfers, and bank transfers from multiple accounts
  • Maintain multiple accounts across a broad spectrum of banks
  • Bachelor’s Degree in Finance or Business Management
  • Minimum of three years’ work experience in the banking/treasury industry
  • Experience in multi-unit real estate/hospitality accounting environment a plus
  • Experience with on-line bank reporting tools
  • Experience with credit card processing through Point of Sales systems and Property Management Systems
  • Proficient knowledge of Microsoft Office, specifically in Excel
  • Knowledgeable in wires, ACH, and BAI codes used by the banking industry
  • Ability to work with deadlines and take a creative approach to problem resolution
  • Attention to detail and ability to prioritize tasks
  • Professional written and oral communication skills
133

Treasury Analyst Resume Examples & Samples

  • 2-4 years of experience at another fund or broker, preferably in a treasury capacity, and have a broad experience across all financing products
  • Familiar with equity and credit derivatives, futures, options, repo, and equity finance
  • Demonstrated cash management skills
  • Familiarity with Geneva and/or TriOptima
134

Treasury Analyst Resume Examples & Samples

  • Familiarity with Cash, Securities and FX transfers
  • Basic Accounting concepts and/or bookkeeping skills
  • Experience processing Accounts Payable
  • Experience with Accounting software
  • Highly organized *LI-HD#ACCT
  • Working knowledge of Microsoft Dynamics
135

Treasury Analyst Resume Examples & Samples

  • Prepares in an accurate and timely manner reoccurring financial reports including any ad hoc reporting requests
  • Assist in the preparation of Interest Rate Risk reports utilizing specialized banking software
  • Provide back-up for the Profitability and Budget banking software
  • Support the reporting and documentation of investment portfolio activities
  • Document CRA qualifying investments in preparation for regulatory examination
  • Provides information requests for regulatory exams and the annual audit
  • Compiles reports and PowerPoint slides for ALCO committee presentations
  • Assist in the preparation of the monthly financial statements for Woodforest Financial Group
  • Assist with the review and revision of policies and procedures as needed
  • Self-starter who uses time effectively and efficiently meeting required deadlines
  • Good analytical skills with strong attention to detail and concern for data accuracy
  • Solid technology abilities, including advanced knowledge of Microsoft Excel, Word, and PowerPoint
  • 5+ years banking or financial industry experience required
  • 3-5 years of public or corporate accounting experience preferred
  • 1-3 years financial analyst/reporting experience
  • None
136

Treasury Analyst Resume Examples & Samples

  • Provide operational support of Prudential Financial and Prudential Fundings daily CP positions and the communication of affiliates funding needs to Capital Markets traders
  • Review daily bank reconciliations and trade settlements
  • Provide operational support to internal business partners to address their borrowing needs and ensure appropriate affiliate borrowing documentation is on file
  • Ensure operating process adheres to corporate policy
  • Review areas of risk and define/implement security and control measures
  • Ensure timely updates of policies, procedures and Sarbanes Oxley documentation
  • Participate in development, testing and implementation of enhancements to debt management system, ATOM
  • Assist with the operational implementation, coordination and settlement of new internal loan activity
  • Assist with review and enhancement of internal business processes, including leveraging technology to further automate processes
  • Bachelors Degree required. Finance, Economics or Business Administration degree is preferred
  • Strong knowledge of capital markets operations including short-term debt and investment instruments desirable
  • Must possess strong written and oral communications skills
  • Strong organizational skills and the ability to manage multiple task
  • Excellent problem solving and decision making skills to respond to inquiries and processing issues
  • Strong interpersonal skills to support teams relationship with partners in business units and external service providers
  • Possess strong Microsoft Office skills
  • This position requires a start time of 8:00 AM and the flexibility to work additional hours, if needed
137

Treasury Analyst Resume Examples & Samples

  • CPA, CTP, CFA, AAP or other professional finance certification strongly preferred
  • Working knowledge and understanding of banking products and services required, along with experience in participating in or managing treasury projects
  • Conducting net present value and lease analysis
  • Developing forecasts and creating budgets
  • Experience with share repurchases, escheatment, and derivatives
  • Microsoft Office, SAP, Visio, Adobe Pro, Bloomberg, PAM, Weiland BA Web and BRM Edge
138

Lead Treasury Analyst Resume Examples & Samples

  • Responsible for the primary risk assessment tools for liquidity, the LAP Coverage Months calculation, Parent Cash flow forecast, LCR/NSFR, Erosion Analysis, liquidity dashboard and prepares monthly liquidity assessment for TSC / ALCO
  • Presents liquidity metric results to liquidity working group monthly basis. Formulate forward guidance and incorporate liquidity needs into planning and forecasting process
  • Produce and present ad hoc liquidity projects or analytics (i.e. peer analysis, cost of funds analysis, balance sheet strategy, and diversification analysis) to working group and TSC
  • Support the model validation process through first line validation of models and providing responses to 2nd line of defense issues
  • Maintain compliance through liquidity risk management framework with the Enhanced Prudential Standards
  • Develop subject matter expertise on the Basel III LCR and NSFR measure and produce monthly estimates. Participate in NSFR data project with KET and MRFS and prepare status update reports for senior management in Treasury
  • Contribute to enhancement of liquidity risk management process including build out of existing process in QRM and enhancement to internal stress testing
  • Interface with various leaders in Treasury, Finance, and Line of Business
  • Must be a team player able to develop an effective partnership with functional managers within Corporate Treasury
  • Possess exceptional communication and listening skills and the ability to “sell” his/her ideas within the organization
  • Strategically agile to adapt to changing environment
  • Undergraduate degree in Finance, Accounting, Economics or other financial field
  • Two to five years in Banking or Financial Services
  • PC skills including proficiency with Microsoft excel and PowerPoint
139

Treasury Analyst Resume Examples & Samples

  • Ensures sufficient funds are available in all bank accounts and accurately calculates the intraday and prior day cash position
  • Assists with bank account administration and maintains user access to online banking systems
  • Manages Treasury Mailbox to ensure follow-up and follow through on all communications
  • Key point of contact for escalations related to treasury operations
  • Initiates all disbursements including intercompany transfers of cash
  • Manages branch deposit program and related funding
  • Minimum Experience Required: 1-3 years, Preferred: Banking / Treasury Operations Experience
  • Ability to prioritize tasks / deliverables and manage time efficiently
140

Treasury Analyst Resume Examples & Samples

  • Bachelors Degree (BA/BS)
  • 1+ years of strong Treasury/Financial Analysis experience (e.g. funding, liquidity risk management, balance sheet analysis
  • Understanding of principals of liquidity risk management
  • Appreciation of legal entity regulatory issues, including intra-group transactions
  • Experience in testing and implementing processes / reports
  • Excellent verbal and written communication. Ability to write effective, high-quality emails and documents
  • Knowledge of Investment Banking and Financial Services products with focused understanding of broader Finance function
  • Results oriented; ability to commit to and follow initiatives through to completion
  • Able to multi-task in a fast paced, dynamic, high-pressured environment - managing changing priorities and tight deadlines
  • Ability to pro-actively solve problems and escalate issues through the proper governance tools and channels
  • Strong PC skills (Microsoft Suite including Excel, Word, Project)
  • A strong, polished presence and ability to challenge opinions with confidence and professionalism
  • Working knowledge of Visual Basic and/or SQL a plus
  • Solid work ethic, high levels of motivation and self-starter qualities
  • Knowledge and experience of the regulatory landscape and the changes impacting Foreign Banking Organizations in the USA
  • Regulatory knowledge in one or more of: Basel I, II & III, Dodd Frank, CCAR or general US Regulatory Policy
  • Excellent interpersonal skills and ability to communicate effectively
141

Treasury Analyst Resume Examples & Samples

  • Graduates in finance or business-related course of study
  • Keen interest to learn, and good analytical skills
  • Good written, oral and interpersonal communication skills
142

Treasury Analyst Resume Examples & Samples

  • The Treasury Analyst is responsible for the delivery of the daily dealing and forecasting process and will work primarily on daily-monthly operational tasks and related projects
  • The focal point of understanding the Group's cash, FX and related processes and systems
  • This role is challenging and requires a strong intellect with strong numeracy and analytical skills
  • Strong communicator and influencer. Commercially minded. Able to approach and challenge colleagues and bankers, and seeks to understand issues with them
  • Succession planning is important so an interest and confidence to move into more challenging roles is desired
  • Some relevant work experience is desirable - perhaps in finance or accounting based if not in treasury
  • Good accounting knowledge is a bonus so possibly qualified or with a relevant degree but not essential
  • Determination to gain AMCT qualification - this will be funded
  • A strong grasp of Excel basics with the capacity to learn new skills and functions
143

Treasury Analyst Resume Examples & Samples

  • Serve as back-up to the Cash Manager in managing the daily domestic cash position; including funds transfers, liquidity management; short term investing and borrowing, and routine foreign exchange purchases
  • Support international liquidity management and other international operating requirements
  • Assist with resolving all cash management issues or problems on a timely basis, including bank account activity inquiries
  • Assist in bank account opening, closing and maintenance activities
  • Participate in ensuring compliance with key Treasury controls; assist with the update and maintenance of departmental process, control and policy documents
  • Assist in the bank system security administrator role including user set-up, system functionality and issue resolution
  • Work with departmental staff to maintain bank account database
  • Liaise with Accounting and other internal departments to facilitate the transfer of knowledge and informational requirements needed by those respective parties, including G/L entries and daily, monthly and quarterly reporting of such
  • Liaise with various CME departments and the banks on system functionality to enhance efficiency
  • Prepare various departmental reports, working with the Treasury Operations Manager and Cash Manager on the same
  • Take on special projects as requested
  • Responsible for the analysis and payment of bank fees, after correcting any erroneous billings (projects to undertake in this realm include a review greater use of compensating balances and further use of the newly implemented treasury management system)
  • Work with Treasury Operations Manager to conduct periodic review and analysis to optimize banking procedures and configuration (e.g. concentration, collection and disbursement enhancements)
  • Assist in ensuring that disaster recovery procedures are in place and fully functional
144

Treasury Analyst Resume Examples & Samples

  • Confirm trades; certify settlement of securities and derivative contracts
  • Reconcile cash and position balances
  • Analyze transactions to ensure compliance with back office accounting team
  • Interface and support Prime Brokers, Portfolio Management, Asset and Liability groups, as well as an array of other departments
  • Bachelor degree in accounting or finance from accredited university, CPA or CFA candidate preferred
  • One or more years of accounting or finance experience; financial services experience preferred
  • Strong understanding of MBS, credits and derivatives
  • Proficiency with Excel and Bloomberg softwares
  • Strong written and oral communication skills and a high attention to detail
145

Treasury Analyst Role Resume Examples & Samples

  • CTP or working toward
  • At least 2 years of international treasury experience
  • Must be self-motivated and have the ability to work in a fast paced environment
  • Must have excellent organizational and time management skills
  • Excellent MS Office knowledge and Google docs is a plus
146

Treasury Analyst Resume Examples & Samples

  • High school diploma or equivalent; some college is desirable
  • 0 to 3 years of experience in cash settlement back office operations (mutual fund industry preferred, but not essential. Other sectors will be considered - financial or private)
  • Note: the position requires the person to be designated as an Access Person
147

Treasury Analyst Resume Examples & Samples

  • A minimum of 2 years of experience is required; 3 to 5 years of experience is preferred
  • A Bachelor of Arts of Sciences Degree, or equivalent experience is required
  • Experience with Oracle Financials, Hyperion Reporting and Treasury-specific software highly desirable
  • A Certified Treasury Professional (CTP) credential is highly desired
148

Treasury Analyst Resume Examples & Samples

  • 4+ years of experience in a Treasury, Liquidity Management, Short-term Fixed Income Trading or related setting
  • Bachelor's Degree in Economics, Finance, or a similar field
  • Experience with Cash and Cash Portfolio Management, FX Hedging and Collateral Management
  • Fundamental understanding of Global Cash Investment Products and Strategies and Investment Markets and Products generally
  • Solid quantitative aptitude
  • Experience in negotiating financial contracts
  • Previous Coding skills
149

Fro-treasury Analyst Resume Examples & Samples

  • Reporting Current liquidity and IRE position through the production of the daily Gap Analysis Report
  • Also responsible for producing cash flow and various other ad-hoc regulatory reporting
  • Liaise with members of Risk Reporting/Risk Management, Finance, and Treasury to establish reporting requirements and develop the tools, analysis and reporting necessary to proactively identify and manage risk with respect to portfolios and products, and continuously update the reporting process to reflect the current business structure
  • Candidate having prior experience in similar profile
  • Risk Management, Financial Control, Audit, Operations, Team Management, etc
  • Treasury experience in an Investment Bank is a plus
150

Treasury Analyst Resume Examples & Samples

  • Provides operational support for Funding and Liquidity Management including the Intraday Liquidity Daily Cash Settlement process, which ensures the on-going daily funding of the credit card portfolio, funding and investment program obligations, partner settlements, operating and payroll expenses and portfolio acquisitions. Prepares liquidity reporting to communicate current and projected positions to Treasury management
  • Provides operational support for settlement, maintenance, redemption and maturity of Funding Programs, including Intercompany Loans, Subordinated Debt, Preferred Stock and the Structured CD, Brokered CD, Deposit Sweep and EBP Deposit Programs. Functions include preparation, review, execution, and communication of required legal and settlement documentation, interest and maturity payments, interest rate resets, swap payments, redemption processing
  • Supports intraday liquidity, product settlement and financial and regulatory reporting requirement functions related to Barclays International Holding Company structure. This also includes supporting regulatory reporting requirements such as intraday liquidity projections and manual hand ins for Liquidity Execution Risk Management work streams and Fixed Form Reporting, Collateral, CCAR, DFAST reporting requirements
  • Prepares sub ledgers used for monthly accounting entries and reporting used for general ledger reconciliation and audit and control purposes
  • Supports governance functions in Treasury SOX, FDICIA, PWC and internal audit initiatives by maintaining evidence of controls and requested providing audit samples
151

Treasury Analyst Resume Examples & Samples

  • Manage daily cash operations including wire transfers, account funding, reconciliations and general accounting
  • Manage global bank account and system inventory as well as documentation for all bank accounts, updating on a regular basis
  • Monthly foreign exchange, hedging, forecasting, monitor credit
  • Bachelor degree in accounting or finance from accredited university, CPA or CTP candidate preferred
  • 3+ years of treasury accounting or finance experience
152

Treasury Analyst Resume Examples & Samples

  • Provide analysis and reporting for the UMB Financial Corporation, its' affiliate banks and its' non-bank affiliates and would work with other Corporate Treasury staff as well as other staff within Corporate Finance
  • Perform modeling, analysis and reporting for UMB Financial Corporation, its affiliate banks and its non-bank affiliates related to interest rate risk, liquidity risk, financial planning and balance sheet management strategies
  • Assist in the development and reporting of financial risks to the Asset and Liability Committee on a monthly basis
  • Assist in the development and monthly execution of the Funds Transfer Pricing process
  • Perform analysis to develop and support financial risk modeling
  • Collect large amounts of data and manage that data using database tools
  • Document works performed and assist in the development/maintenance of departmental procedures
  • Work directly with external valuators, regulators, internal audit or other objective parties to communicate and explain the approaches and respond to questions/concerns
  • Demonstrates proficiency with data extraction, collection, and the ability to manage and analyze large amounts of data from a wide variety of sources
  • Demonstrates ability to administer and manage complex software models/databases
  • Demonstrates understanding of bank balance sheets
  • Demonstrates ability to combine pieces of information to form general rules or conclusions (finding a relationship among seemingly unrelated events)
  • Demonstrates high attention to detail thereby lowering the probability of mistakes being made
  • Demonstrates ability to work successfully as an individual and as part of a team Demonstrates high personal standards and professional ethics with a commitment to excellence
  • Demonstrates active interpersonal skills with the ability to relate to all levels of management
  • Demonstrates clear and effective verbal and written communication skills
  • Experience using the BancWare Convergence asset/liability model, BancWare Insight data collection software, and BancWare FTP module
  • Experience with the ZM model
  • Experience playing a role in the budgeting and forecasting process in a financial institution setting
153

Business Treasury Analyst Resume Examples & Samples

  • 4-6 years of Prior Treasury and/or Finance function experience
  • Expert MS Excel
  • “Client – Service” mindset
  • Ability to influence and persuade staff at all levels
  • Ability to interpret data and make reasoned conclusions
  • Comfortable applying own judgement to make decisions including appropriate escalation of issues
  • Comfortable working in a team
  • Ability to be flexible in a fast changing environment
154

Treasury Analyst Resume Examples & Samples

  • Support business unit strategic capital initiatives and projects
  • Assist in research and development of emerging capital frameworks in the applicable countries
  • Support the quarterly reporting and forecasting processes for capital, borrowing, cash flows and liquidity
  • Support the analysis of foreign exchange hedging activity
  • Support for the execution of affiliated loans and other structured transactions
  • Development of related presentations for senior management, rating agencies, regulators and the Finance Committee/Board of Directors
  • Bachelors degree in Finance or Economics preferred
  • Individuals on a MBA and/or CFA is a plus
  • Minimum of 3 years work experience in finance, accounting, or treasury field preferred
  • Familiarity with derivative accounting principles is desirable
  • Solid interpersonal and communications skills and ability to interact with all levels of management
  • Proficient in Microsoft Excel, PowerPoint, and Word
155

Treasury Analyst Resume Examples & Samples

  • Bachelors – Accounting, Finance or Business Administration
  • 2+ years experience in a related field, preferably Corporate Treasury
  • Experience with commercial online banking portals and treasury workstations
  • Solid understanding of treasury/banking operations and cash management structures
156

Treasury Analyst Resume Examples & Samples

  • Knowledge of banking and financial services industry
  • Process mapping and management skills
  • Proficient in MS Office products
  • Capable with end user computing
  • Effectively operate in a team environment
  • Able to adapt with changing priorities as situation warrants
  • Related experience of 2+ years
157

Senior Lead Treasury Analyst Resume Examples & Samples

  • Strong corporate finance acumen
  • Strong knowledge of banking and financial services industry
  • Related experience of 5+ years
  • Previous work experience in a finance, treasury or risk management function/organization
158

Treasury Analyst Resume Examples & Samples

  • Support Treasury Manager with all Treasury related functions as needed, and serve as back up for other team members
  • Perform daily cash positioning, account balance reconciliation and cash flow forecasting for domestic and global entities
  • Support the Company's investment activities and metrics reporting
  • Perform Treasury related back-office activities such as initiate wire transfers and support affiliates' funding needs
  • Administer day-to-day share repurchase activities, including record keeping and reporting
  • Perform monthly bank fee analysis
  • Work with business partners and the accounting team to ensure proper accounting for Treasury related transactions
  • Prepare month-end journal entries and account reconciliations for corporate Treasury accounts
  • Maintain and update banking resolutions, bank account signatories and FBAR documentation for year-end tax reporting
  • Update bank account changes within Treasury Management System, including troubleshooting any issues that may arise
  • Assist with quarterly and year-end audit schedules for internal/external audit and SOX compliance
  • Support the WSI Foundation donations process and related accounting
  • Prepare corporate bank deposits
  • Keep on top of current market trends and industry developments
  • Help implement best practices and drive process improvement
  • Manage ad-hoc Treasury projects as needed
159

International Treasury Analyst Resume Examples & Samples

  • Prepares hedge analytics and Mark to Market calculations
  • Maintains FX Hedge Database and confirms FX trades with banks
  • Collaborates with Accounting to respond to FX related SAP inquiries
  • Monitors FX transactions to ensure that they are properly booked in SAP
  • Prepares FX rate forecasts for planning purposes
  • Analyzes inter-company balances and cash positions, and assists in leveraging SAP to settle balances
  • Maintains intercompany loan database and documentation
  • Assists with repatriation analysis
  • Prepares Financial Disclosures related to Foreign Exchange and debt
  • Assists in the streamlining of Treasury processes by properly maintaining internal controls and compliance measures
  • Supports existing corporate credit facility reporting
  • Four year college degree in Finance, Accounting or related field
  • MBA or CTP preferred
  • 2 to 5 years of relevant international company experience with understanding of Accounting and Foreign exchange concepts
  • SAP ERP skills and Journal Entry experience preferred
  • Experience using FiREapps and Bloomberg a plus
  • Advanced knowledge of Microsoft Excel (Macros and Modeling), PowerPoint, Word
  • Desire to learn in a fast paced environment
  • Ability to analyze data and formulate a recommendation
  • Ability to identify inefficient processes and offer solutions for improvement
160

Treasury Analyst Resume Examples & Samples

  • Bachelor's Degree, or equivalent, in Finance or Accounting strongly preferred
  • Prior related finance work experience a plus
  • Working knowledge of Microsoft Excel, PowerPoint, Word (Microsoft Office)
  • Knowledge of Lawson, Essbase or Treasury Management Systems (Kyriba) a plus
  • Strong work ethics, team player, ability to work independently
  • Ability to provide sound financial and business judgment, and strategic thinking
  • Strong desire to develop professional skill set and advance career
  • LI-LT
161

Treasury Analyst Resume Examples & Samples

  • Responsible for the day to day operations of the cash flow management system
  • Analyze cash forecast and concentrate funds for investment purposes
  • Research and resolve basic questions and issues
  • Communicate effectively with co-workers, banks and functional units
  • Assisting in preparing and providing documentation updates to banks and other parties as needed
  • Assist functional units in providing research and backup information as needed
  • Job and compensation levels depend upon an applicant’s qualifications including the extent of his/her relevant experience and other job related factors and will be determined by hiring supervisors/managers and HR
162

Treasury Analyst Resume Examples & Samples

  • Reconcile daily cash position
  • Monitor and tag daily transactions
  • Coordinate with finance leaders across the company to concentrate cash efficiently
  • Provide daily, weekly and monthly reports and ad hoc analyses of global cash
  • Process Treasury payments including those related to debt and equity financing, derivatives and spot foreign currency trades, and intercompany transactions
  • Contribute to the preparation of recommendations for spot foreign currency exchange transactions in coordination with other Treasury functions
  • Perform spot foreign currency exchange transactions via electronic platform
  • Prepare rolling, short-term forecast of liquidity
  • Provide analytical support to the Director of Treasury Operations rolling twelve month liquidity forecasts
  • Coordinate with Accounting the recording of Treasury transactions
  • 1+ year of treasury experience required
  • Bachelors degree in accounting or finance required
163

Treasury Analyst Resume Examples & Samples

  • Partner with Treasury, Finance, Risk, Legal and Front Office on capital planning initiatives
  • Assist in developing best-in-class Regulatory Delivery model
  • Identify risks to achieving planned capital targets, including close assessment of internal regulatory stress outputs, and integrate with defined Americas risk profile
  • Work closely with the CCAR team to ensure Capital Management's work-stream is performing in line with overall program milestones and U.S. implementation plan
  • Assist in developing and maintaining the region's comprehensive capital analysis and review
164

Treasury Analyst Resume Examples & Samples

  • Daily cash management and related transactions
  • Create, record, reconcile and validate daily/weekly reports – cash/checks, credit cards, accounts receivable, including fixing unresolved discrepancies
  • Create, review and track journal entries for monthly financial close, daily reporting and reconciliations
  • Coordinate cash management of multi-site locations, including cash deliveries, change orders, deposits, and supplies; user support and training of these processes
  • Track and monitor vendor discounts
  • Complete special projects with varied and complex components as needed
  • Clerical duties such as making copies, scanning, emailing, faxing, etc
  • Perform routine and complex duties associated with treasury processing
  • Associate’s Degree in Finance, Accounting or a related field or four plus years Accounting experience
  • Comprehensive Accounting and General Ledger knowledge
  • Comprehensive knowledge of Microsoft Word and Excel
  • Prior Treasury experience
  • General Ledger Experience
  • Experience with Point of Sale systems in multi-location setting, including daily closing and reconciliation process
  • Experience with remote deposit capture
  • Spanish a plus
165

Treasury Analyst Resume Examples & Samples

  • Partnering with team on determining the right solution for a business request for either disbursement or receivables activity (Internal/External banking platform, New/Existing accounts, Service modifications etc.)
  • Manage Banking platforms & associated Controllership processes for regional and global banking partners - including user management, access management etc
  • Cooperating with the Banking Services Leader and Corporate Treasury Process Leader
  • Coordinate with Business users/teams , Budapest SSC team , Treasury Services Analyst & Banking partners
  • Support business integrations relating to the use of banking platforms, testing and coordination with banks etc
  • Provide support and trainings to business users
  • Maintain all process documentation and SOPs
  • Participation in transition and simplification activities
  • Bachelor’s degree in accounting, finance, or other business related field. A reasonable understanding of technology as well as usage or management of banking platforms is desirable
  • Understanding of Cash Management processes and solutions including those for managing disbursements and receivables etc
  • Proven analytical skills, numeracy and financial awareness
  • Strong communication and team-working skills in a global environment
  • Minimum computer Literacy: MS Office, particularly Excel etc
  • Experience in managing Banking processes & platforms(documentation and Electronic banking platforms such as Citidirect, DBdirect etc)
166

Treasury Analyst Resume Examples & Samples

  • Excellent analytical and communications skills, ability to multitask. Attention to detail and problem solving under time constraint are very critical skills
  • Experience in handling complex financial instruments and multi-currency settlement transactions across globe
  • Expected to apply understanding of different payment techniques and methods related to banking and trading transactions
  • Willingness to work on some Indian holidays and European working hours to provide global coverage
  • Experience with Quantum and/or Citi direct and/or SWIFT and/or SWIFT Accord will be an added advantage
  • Experience in handling documentation and interacting with legal and banks
167

Treasury Analyst Resume Examples & Samples

  • Prior experience in a similar role
  • Excellent communication skills with an acute attention to detail
  • Solid understanding of accounting
  • High degree of professionalism and business maturity
  • Strong analytical skills and is eager to learn new things
  • Proficient with Excel spreadsheets, Word documents, and PowerPoint presentations
  • Internal customer-oriented and able to communicate effectively and tactfully with persons on all levels, in person and on the telephone
  • Proactive and motivated to be involved in special projects to continuously improve effectiveness and efficiency of Treasury operations
  • Able to organize and schedule work effectively and maintain a sense of urgency
  • Able to work well autonomously under time constraints
  • Able to problem solve and trouble shoot
  • Able to handle multiple concurrent tasks
  • Able to work independently and meet deadlines
  • Able to maintain confidentiality and use discretion and good judgment with sensitive data
168

Treasury Analyst Resume Examples & Samples

  • Coordinate consolidation of Treasury inputs to the forecasting process, represent Treasury during forecast meetings, and develop forecasted cash flow statement
  • The role will be responsible for coordinating with the various Treasury groups to compile the inputs necessary for FP&A to forecast financial results over various time horizons
  • Collaborate with FP&A and Corporate Reporting to develop a forecasted consolidated cash flow statement
  • Support the analysis of change in the forecasted Treasury metric driving insights and identifying potential opportunities to improve financial results
  • Support financial risk management initiatives by conducting deep analytics and data mining to identify, quantify and mitigate financial risk exposures to K-C including currency, interest rates and commodities
  • Coordinate settlement of hedging activities and conduct effectiveness testing on interest rate and natural gas hedging
  • Provide analysis and other activities to ensure optimal capital structure including debt portfolio management and development of financing plans
  • Lead activities to ensure compliance with debt covenants and fair market valuations
  • Lead the execution of the programs to return capital to shareholders including dividends and share repurchases
  • Provide monthly reporting of share repurchases, stock options exercised, and other treasury stock activities
  • Seek opportunities to drive continuous improvement of key Treasury processes
  • Prepare annual budget for the Treasury department and report monthly results vs. budget
  • 3-5 years of progressive financial analysis experience
  • A broad knowledge of the financial and business implications of general business practices
  • A desire to learn and understand various financial markets and their impacts on overall business decisions and results
  • Demonstration of critical thinking and analysis along with a working knowledge of accounting, finance, capital markets, economics, taxation and proficiency in discounted cash flow analysis and financial statement analysis
  • Highly capable in using Microsoft Office products, primarily Excel, to conduct financial and statistical analysis and a preference for candidates competent with HFM or Treasury Management Systems
  • Proven ability to manage multiple priorities
  • Track record of process improvement
  • Cultural fit within K-C’s values of authentic, accountable, innovative, and caring
169

Treasury Analyst Resume Examples & Samples

  • Manage and analyze daily cash activity along with account reconciliation and cash forecasting for all Ameriprise Financial corporate bank accounts
  • Handle money movements requested internally and through file feeds, reviewing all activity for reasonableness and accuracy and communicating with internal and external business partners as needed
  • Cross train for all related cash management functions to serve as an effective back-up to the team as needed
  • Participate in both departmental (BCP and DR exercises; system upgrades) as well as corporate projects as needed
  • Minimum 2 year (associate) degree in Finance, Business Admin, or related field
  • 1+ years experience exhibiting strong analytical positions throughout progression
  • Experience processing of financial transactions, cash forecasting, and positioning and all related terminology
  • Proficient technical skills in Microsoft Office (Excel, Word, and Access)
  • Attention to detail and deadline oriented
  • Strong interpersonal and communication (oral and written) skills to deal effectively with internal business partners
170

Treasury Analyst Resume Examples & Samples

  • Responsible for daily domestic and international cash management activities and operations. Complete cash position worksheets, ensure adequate daily liquidity in various bank accounts, enter wire transfer requests into banking software, invest excess cash balances, obtain current borrowing rates, balance and reconcile bank/investment accounts, calculate and facilitate the concentration of company funds, and follow-up and resolve open project tasks with banks
  • Manage the posting of banking transactions into the general ledger system. Review and ensure accuracy of general ledger cash entries, maintain and execute appropriate changes to the general ledger interface, work with operating units to resolve posting errors and/or questions regarding cash entries, and complete monthly bank account reconciliations reports
  • Provide ongoing analytical and transaction research support. Develop models and perform variance/trend analysis related to bank transactions, service fees, budget accruals, and miscellaneous cash management/company projects
  • Act as a liaison between banking partners and operating units to assist in the implementation of banking services, assist in the research and evaluation of banking transactions, and provide general support to business units as it pertains to banking and treasury operations
  • Coordinate with banking partners and business units to assist in the setup and documentation related to opening, closing, and modifying domestic and international bank accounts. Maintain accurate records and documentation of open/closed bank accounts and signatories
  • Assist with the preparation of monthly and quarterly treasury reporting
  • Assist in supporting both internal and external treasury audits
171

Treasury Analyst Resume Examples & Samples

  • Various tasks may include
  • Daily Cash Position: Set position and short-term cash forecast for Hess entities
  • Intercompany Loans: Manage portfolio: Liaise with Tax, Legal and Accounting as needed
  • Letters of Credit: Manage portfolio and ensure optimal and cost-effective use of liquidity and collateral
  • Reporting: Responsible for weekly, monthly and quarterly reporting to various business units and senior management for relevant LC and Intercompany Portfolios
  • Cash Forecast: Support the preparation of forecasts and other ad-hoc reporting. Emphasis on variance and trend analysis, improving key metrics and the quality of data sources
  • Payments: Assist in daily payments function and perform approvals and checks on all Treasury related transactions
  • Cash Balance Management: Support International and Domestic Cash Management reviews with the goal to further minimize idle cash in standalone bank accounts, maximize liquidity and interest income
  • Projects and Efficiency: Support Treasury Process Excellence team to scope, identify, and implement process improvements and technology solutions
  • Documentation: Update and maintain Standard Operating Procedures and other relevant documentation
  • Cross training: Learn and back-up other functions in operations
  • 2-5 years of work experience, ideally 1-2 years of treasury, finance, financial services or accounting experience
  • Detail oriented, strong organizational and multi-tasking skills
  • Good interpersonal skills and ability to work well in teams
  • Excellent knowledge of Microsoft Excel and other MS Office tools
  • Prior experience with Treasury Workstations (e.g SunGard, Kyriba, Wall St. Systems) is preferred but not mandatory
  • Process oriented (experience with Lean or Six Sigma principals is a plus)
172

Treasury Analyst Resume Examples & Samples

  • Act as an intermediary between head office, our worldwide divisions and banks regarding the issuance / amendments / cancellation of letter of guarantees
  • Prepare liquidity and cash flow forecasts
  • Solid analysis competencies
173

Treasury Analyst Resume Examples & Samples

  • Prepare cash analysis and funding requirements related to bank account structure
  • Process Optimization Focused - Improve areas of responsibility
  • Team player; comfort in operating within a dynamic, complex organizational structure
  • 1-2 years cash management experience (Minimum)
  • 1-2 years of accounting or finance experience (Minimum)
  • The candidate must be comfortable dealing with accounting matters and demonstrate basic knowledge of US GAAP, current accounting regulations and internal controls
  • Working Knowledge of Banking Software Applications a plus
  • Knowledge of cash management and treasury practices a plus
174

Treasury Analyst Resume Examples & Samples

  • 2 years related experience
  • Basic knowledge of Debt and Derivatives
  • Strong Written and Verbal Communication Skills
  • Knowledge of Blackrock Aladdin, Chatham or Quantum a plus
175

Treasury Analyst Resume Examples & Samples

  • BA or BS degree in finance, economics or relevant discipline
  • 2-5 years of work experience in a related role
  • Strong working knowledge in Microsoft Office, including Excel, Access and Power Point
  • Excellent academic background
  • Strong analytical focus
  • Attention to detail and ability to work under tight timeframes
  • Excellent communication skills and a team player
176

Treasury Analyst, Enterprise Risk Management Resume Examples & Samples

  • Independent review of interest rate risk (IRR) analyses including underlying drivers and assumptions and associated IRR measures (e.g., earnings-at-risk)
  • Conduct sensitivity testing of key assumptions on a periodic basis – both IRR analyses and liquidity stress test assumptions
  • Help develop risk metrics and limits for short and long-term exposure to interest rates in the banking book and for relevant liquidity exposures
  • Monitor adherence to liquidity, market/interest rate and capital risk metrics and their established limits on an ongoing basis and escalate and help remediate breaches or expected breaches proactively
  • Develop consolidated reporting of Treasury Risk (Interest rate, liquidity and capital) as part of overall Enterprise risk reporting
  • Actively participate in providing meaningful review/challenge to enterprise capital stress testing process
  • Ad hoc/projects: Respond accurately and quickly to ad hoc analysis requests from CRO, other risk officers, other Bank executives and regulators. Contribute to special projects as needed
  • Bachelor’s degree required; advanced degree desirable
  • Proficiency in Microsoft Office Suite (Excel, PowerPoint, Word)
  • Exceptional interpersonal and communication skills plus the ability to work independently and as a part of a team
177

Treasury Analyst Resume Examples & Samples

  • Document the payment process
  • Understand and document the current processes
  • Suggest improvements and efficiencies
  • Define and document deficiencies and identify solutions
  • Define and document risks and risk mitigation plans
  • Document current policies and train as needed
  • Project Point of Contact
  • Document the progress and status of each ongoing/pending project
  • Identify bottlenecks and hurdles
  • Document outstanding items and who is responsible for competition
  • Provide weekly metrics
  • Bachelor’s degree in accounting, finance or related field
  • Very good communication with all levels in the organization
  • Very high level of organization
  • Prior experience in payment processing, extremely helpful
  • Knowledge of Treasury, extremely helpful
  • 6-8 years of experience in related field
178

Treasury Analyst Resume Examples & Samples

  • Review of daily cash balances and preparation of cash transfers to fulfil global funding needs
  • Consolidated weekly cash position reporting, maintenance of key cash diary events
  • Coordinate opening/closing of bank accounts with relationship banks and liaise on related documentary matters
  • Analyse bank fees
  • Maintain global bank account and corresponding signatory database
  • Ensure compliance with Signature Authority Policy and initiate updates at banks as necessary
  • Assist in various treasury projects
  • Fulfil various government or bank documentary filing obligations
  • External audit and compliance support for cash investments, debt activity and treasury transactions
  • Global bank account services maintenance and administration
  • Inputting of treasury and corporate funds transfers, intercompany funding transfers
  • Bachelor's or Master's degree in Finance, Business Administration or other similar concentration
  • Between 0-2 years professional experience, preferably within a treasury / cash management role or within a similar role in a banking environment
  • Exposure to working with foreign currencies and cash / cash investments within a multi-jurisdiction environment
  • Experience of working within an international and multi-cultural environment and across different time zones
  • Strong analytical skills, combined with an ability to manage more administrative tasks with a high level of attention to detail
  • Strong analytical, problem-solving and multi-tasking skills
  • Excellent interpersonal and communication skills, comfortable at formulating presentation materials in a professional and logical format
  • Proactive individual, eager to take personal ownership and ability to work independently
  • Detail-focused with strong personal motivation to manage more routine administrative tasks through to completion
179

Treasury Analyst Resume Examples & Samples

  • Support enterprise wide balance sheet forecasting and planning process
  • Prepare and maintain capital projections for holding company and bank
  • Analyze corporate cash and monitor insured customer deposits balance
  • Perform Treasury operations (wire funding, bank account set up, authorizations, etc.)
  • Closely analyze and monitor the appropriate cash reserve fund balances and regulatory requirements
  • Perform analysis and reporting of counter-party risk and financial due diligence of new vendors
  • Provide strategic treasury forecasts
  • Perform liquidity planning and internal ALCO (Asset-Liability Committee) reporting
  • Ensure ledger responsibilities are completed
  • Maintain and enhance key treasury processes, procedures, and documentation to meet or exceed existing and changing regulatory requirements
  • Assist with internal and external audits and examinations by brokerage and bank regulators
  • Strong knowledge of the Treasury field, including knowledge of best practices
  • High level analytical ability and understanding of financial, treasury, and accounting principles, terminology, and concepts
  • Strong knowledge of economic fundamentals involved with fixed income investing
  • Proven ability to meet tight deadlines and drive results using multiple sources of information and be a proven team player
  • Ability to interact with management and develop effective relationships
  • Ability to creatively solve problems and approach situations with a fresh and well thought out perspective
  • Ability to effectively present information and respond to questions from peers or management
  • Familiarity with advanced math terminology and statistical analysis techniques
  • Intermediate proficiency with Microsoft Word, Access, PowerPoint and Outlook
  • Expert level proficiency with Microsoft Excel
  • Bachelor’s degree in Finance, Accounting, or related field, or equivalent combination of education and experience required
  • 4+ years experience with financial accounting and/or financial analysis required
  • 2+ years experience with fixed income investing required
180

Treasury Analyst Resume Examples & Samples

  • Performs cash management functions for Vanguard Marketing Corporation (VMC), including determining daily cash position, preparing daily cash projection, preparing payment and wire transfer requests, and executing T Bill trades. Ensures accuracy of bank funding and pledged customer collateral
  • Serves as liaison between VMC and settlement banks. Responds to inquiries with accuracy and on a timely basis
  • Prepares weekly/monthly cash flow forecast for VMC and documents all expected inflows and outflows. Projects monies available for investment. Researches and documents analysis of significant variances
  • Reviews and posts all cash journal entries required to complete month end close. Prepares documentation for all material balance sheet account fluctuations
  • Reconciles cash account in accordance with established deadlines. Identifies discrepancies and recommends resolutions. Compiles and organizes all required workpapers
  • Develops and maintains policies and procedures related to Corporate Treasury. Reviews policies and procedures regularly and recommends changes as required
  • Provides support for all VMC financial and regulatory audits in regards to Treasury by compiling, analyzing and preparing all assigned audit materials in accordance with established deadlines
  • Undergraduate degree (Accounting degree preferred) or an equivalent combination of training and experience
  • Minimum three years accounting and audit experience. Prior fund accounting or banking experience preferred
  • Detailed and goal oriented
  • Strong decision making and leadership skills, including the ability to theorize strategically
  • Strong relationship building skills including diplomacy, client focus and negotiating abilities
  • Demonstrated ability to motivate and coordinate the activities of team members
  • Excellent communication skills including verbal, written and presentation abilities
181

Treasury Analyst Resume Examples & Samples

  • On a daily basis complete cash activities including wires, ACH’s, account reconciliations, account sweeps, and other funding activities
  • Ensure compliance with key treasury controls and maintain departmental process, control, and policy documents. Recommend process efficiencies and improvements
  • Support capital planning and liquidity forecasting processes
  • Develop strong working relationships with banking partners
  • Ensure all bank documentation is maintained and updated on a regular basis
  • Monitor bank operational performance and participate in monthly and annual bank counterparty performance reviews
  • Review account analysis statements and provide recommendations to reduce bank fees
  • Perform investment and collateral valuation analysis
  • Assist with month-end and year-end cash management related closing activities
  • Support internal and external audit requests related to cash management activities
  • Provide assistance on special projects in relation to the treasury function
  • Ability to prioritize, manage multiple projects, and execute in a fast-paced and dynamic environment
  • Detail oriented with a demonstrated ability for accuracy
  • Knowledge of commonly-used finance concepts, practices, and procedures
  • Treasury Management Systems, Bloomberg, Online bank platforms
  • Advanced skills in excel and intermediate skills in all other Microsoft Office Suite applications
  • Bachelor’s degree in Finance, Accounting, Economics, Business or equivalent experience in a treasury management role
  • 1 – 2 years’ experience in a Corporate Treasury, Banking, or Corporate Finance role
182

Treasury Analyst Resume Examples & Samples

  • Support the analysis, structuring and execution of debt and capital market transactions to support target levels of liquidity and capital. This will involve debt issuance, bank line management as well as working with the M&A team on financing new acquisitions
  • Perform analysis to determine optimal capital structure and distribution strategies under the company’s REIT structure
  • Identify and develop any analysis/reports/presentations needed to successfully manage the Treasury operations as a REIT
  • Prepare analysis and presentations to support rating agency relationship
  • Manage debt service payments and covenant compliance certification for existing debt
  • Develop direct and statutory cash flow forecasts on a monthly basis to determine funding gap for international subsidiaries
  • Perform analysis to determine optimal capital structure for international subsidiaries
  • Manage intercompany loan portfolio
  • Generate management reports and Treasury related processes managed through our treasury systems
  • Ensure SOX and policy compliance for relevant areas of responsibility
  • Develop and maintain relationships with rating agency and bank counterparts
  • Support Treasury Director with M&A and other initiatives
  • Bachelor’s degree with an emphasis in economics, financing, accounting or engineering
  • Outgoing team player with initiative, integrity, reliability and ability to meet deadlines
  • Strong interest in geopolitics and global economics with an understanding of international capital markets
  • Prior internship or full-time experience in investment banking, equity research, Treasury or corporate FP&A highly preferred
183

Treasury Analyst K Resume Examples & Samples

  • Ensuring data integrity of our IT2 Treasury management system
  • Timely reporting of group debt and cash
  • Review and Implementation of Cash Pooling across the Divisions
  • Assist with Bank Account Rationalisation
  • Ensure Mandates standardised and managing changes to signatories
  • Ensure appropriate accurate Intercompany loan documentation is maintained
  • Assisting with migration of any acquisition to the cash management platform
  • Liaising closely with key stakeholders in the finance and tax department
  • Other ad-hoc and recurring duties
  • 1-2 years plus experience in a Treasury role or Finance Department (doing such role)
  • College degree or equivalent
184

Treasury Analyst Resume Examples & Samples

  • Minimum 5 years of experience in finance or treasury management in an Multi-National Corporation or banking environment preferred
  • Bachelors or equivalent in Finance or Accounting required; advance degree or certification helpful
  • Excellent analytical, negotiating and influencing skills required - creativity encouraged!
  • Highly flexible and work well in a diverse, global, team-oriented environment
  • Ability to manage several projects and activities simultaneously, often with tight timelines
  • Ability to work independently and thoroughly
  • Requires demonstrated ability to communicate in a clear and concise manner both orally and in writing
  • Ability to create, foster and maintain working relationships with internal and external partners
  • Project Management background / experience preferred
  • Fundamental knowledge and experience of working in a Risk/Compliance Role preferred, but not required
  • Strong working knowledge of MS Office Suite: Excel, Word, and PowerPoint
185

Treasury Analyst Resume Examples & Samples

  • Responsible for daily cash management of the EMEA region. Review and identify bank flows, monitor cash balances and ensure liquidity is sufficient for operations
  • Work closely with AP, AR, IT and GL teams to ensure all operational needs are met in the region. (Access to account information, trace and recall payments, provide bank confirmations, etc.)
  • Establish strong working relationships with both internal and external partners
  • Maintain and update daily and monthly cash flow reports, including the 4 months rolling forecast
  • Bank administration. Update and maintain paper and electronic signatories
  • Manage treasury related audit requirements and bank confirmations
  • Interface with internal auditors, providing reports and assisting with SOX testing
  • Find synergies and business process improvements when possible
  • Support the rest of the Treasury team as needed (i.e. for backup purposes) on matters such as payments processing, daily cash reconciliation and positioning, FX settlements, bank user administration, etc
  • Experience with corporate finance/treasury
  • Be at ease with numbers and complex Excel models
  • Excellent written and verbal communication skills as well as superb skills in business analysis, capacity planning, project/program management, processes, and change management
  • Ability to work independently on issues or problems with other functional areas (e.g.Accounting, Financial Services, Financial Systems, etc.)
186

Treasury Analyst Resume Examples & Samples

  • Daily cash positioning, wire transfers and ACH payments
  • Monitoring daily transactions and ensuring they are properly tagged in the Treasury Workstation
  • Taking ownership of the Treasury Workstation and looking for ways to improve the daily process
  • Daily tracking of receipts for various revenue analysts and generating reports from the Treasury Workstation listing these receipts
  • Creating monthly cash journal entries to properly record cash activity
  • Reconciling bank statements to balance sheet accounts at month end to ensure that entries have been posted correctly and that balances are accurately stated
  • Conduct special projects as required and assist revenue analysts from time to time with processing of receipts/revenue entries
  • An accounting/finance degree with experience with Microsoft Office software
  • Strong communication, organizational and problem solving skills
  • Ability to think and work independently as well as in a team environment
  • Ability to prioritize, multi-task and follow-through with goals and objectives
  • Attitude of responsibility and accountability for accomplishing stated objectives
187

Treasury Analyst Resume Examples & Samples

  • Responsible for opening and maintaining bank accounts
  • Responsible for processing forms needed to implement new account services for corporate and designated properties
  • Responsible for bank KYC audits for designated properties
  • Responsible for vault service implementations for designated properties
  • Responsible for armored car implementations/contracts for designated properties
  • Responsible for bank supply orders
  • Responsible for establishing and maintaining credit card merchant services for designated properties
  • Responsible for analyzing and disputing credit card chargebacks for designated properties
  • Responsible for payroll drawdown implementations for designated properties
  • Will assist designated properties and Corporate Accounting in resolving reconciling items and research requests
  • Responsible for timely preparation of financial reports (Corporate Semi-Monthly Balance Report and Weekly Cash Report) and work with IT for report modifications
  • Responsible for timely approval of repetitive template wire transfers up to approved authorization limit
  • Responsible for the setup of new designated properties on positive pay, transmitting pay files or adding manual issues and reviewing exceptions for corresponding bank
  • Responsible for stop payment requests
  • Responsible for importing bank statement data for monthly reconciliations with Nolan software (month-end), Great Plains and/or Oracle
  • Responsible for the setup of new designated properties on Nolan software, Great Plains and/or Oracle
  • Will assist team with Treasury record keeping
  • Will monitor analysis fees as well as other banking costs and suggest cost cutting techniques
  • Other duties or special projects as assigned
  • 3+ years related experience in Treasury and/or Banking
  • General knowledge of banking processes, regulations and laws
  • Mastery of online banking products for wires, transaction reporting, exporting data, report creation, stop payments, etc
  • Strong knowledge of Excel software (pivot table, vlookup, etc), basic knowledge of Word software, and basic knowledge of Oracle a plus
  • Experience with Bank of America CashPro, JPMorgan Chase Access and Wells Fargo CEO online bank platforms a plus
  • Candidate must be a self-starter, have the ability to think outside the box; strong attention to detail with the ability to meet time-sensitive deadlines and carryout multiple priorities
  • Candidate must also possess strong interpersonal skills, the ability to communicate effectively with internal and external contacts
188

Treasury Analyst Resume Examples & Samples

  • Assisting with foreign exchange hedging program
  • Ensuring corporate payroll obligations are funded
  • Maintaining and updating letters of credit
  • Monitoring and maintaining appropriate working capital
  • Reviewing a cash transactions for accuracy and resolve any discrepancies
  • Helping to implement treasury workstation, fraud preventive services and global liquidity solutions
189

Treasury Analyst Resume Examples & Samples

  • 1+ year of strong Treasury / Financial Analysis experience (e.g. funding, liquidity risk management, balance sheet analysis, etc.)
  • Understanding of principals of Liquidity Risk management
  • Excellent communication skills (written and VERBAL)
190

Treasury Analyst Resume Examples & Samples

  • LI-IM
  • Management of payments processes, ensuring all payments are checked, signed and submitted to the banks, before their respective deadlines
  • Verification of payments and transfers through the Treasury systems
  • Maintaining the Treasury system with up-to-date bank details
  • Ensuring payment confirmation requests & queries are handled in a timely manner
  • Cash forecasting reports verified and submitted weekly
  • Management of daily payable & receivables reports
  • Handling bank investigations
  • Management of Intercompany loans and documentation
  • Managing the Sales Receipts process covering regional logistics & warehousing activity
  • Management of aged debt positions, alongside chasing/investigating non-receipt of funds with internal departments across all department (operations, legal, insurance, freight, procurement, etc.)
  • Receipt bookings in Treasury System, including liaising with Accounting and Finance departments
  • Bank reconciliation and review work: liaise with Accounting
  • Communication: e-mail and telephone, internal and external
  • Internal and external contact with operations staff throughout the world
  • Work experience within Treasury required (at least 1 year of experience in similar tasks)
  • Knowledge of banking/finance procedures required
  • Fluent English (written/verbal), any other languages would be an asset
  • Ability to be flexible, handle stressful situations and work to firm deadlines
  • Precise, efficient and accurate working style with excellent attention to detail to complete the daily processes
  • Strong working knowledge of Microsoft products (Excel, Word)
191

Treasury Analyst Resume Examples & Samples

  • Management of all bank accounts across the group located in 37 countries spanning Europe, Asia pacific and LATAM, ensuring database of all accounts are maintained as per internal audit requirements and review EB banking systems ensure users up to date and current
  • Engage with the TMS provider to improve the bank relationship module
  • Provide back up support to Treasury Analyst in the weekly funding process
  • Analyse & circulate the variance analysis reporting & follow up with involved parties
  • Update weekly and monthly cash forecast
  • Ensure integration of each entity into the group’s cash management structure
  • Gain dealing experience in FX & Cash management to provide back up support to the Treasury Manager
  • Engage with TMS provider to improve the reporting elements of the cash management process
  • Prepare bank account opening documents & related resolutions for new offices or entities migrating to the current banking system with the assistance of the Treasury Analyst
  • Responsible for bank account opening, accurate recording of signatories & account details in TMS & Oracle financial systems
  • Responsible for the annual review of bank mandates across the group & liaise with bank to make necessary changes
  • Responsible for the preparation for documentation of banking services roll out & assisting with successful implementation
  • Handle any internal banking queries across the group and resolve with banking partners
  • Handle any Settlement issues or banking requirements of the local finance managers & raise urgent issues with the Treasury Manager
  • Ensure Treasury dealing mandates are up to date
  • Prepare SOX file & assist with testing when necessary
  • Assist in compiling reports for Treasury Committee & circulation of minutes
  • Retain audit trail of FX rate upload
  • Retain supporting documents for loan & derivative commitments, compliance certificates & policy review
  • Responsible for the circulation of required documents for compliance with loan & ISDA agreements
  • Prior experience within treasury in a corporate or a bank is advantageous
  • Knowledge of basic financial instruments and structures and their use in managing risk
  • Experience in managing Inter-company liquidity pools and inter-company netting arrangements
  • Experience advising entities on how to identify and manage FX, Liquidity and Interest Rate risk
192

Credit & Treasury Analyst Resume Examples & Samples

  • Advanced knowledge of Microsoft Excel and Microsoft Access
  • Excellent organizational skills and strong attention to detail
  • Capable of working independently as well as collaborating with others
  • Flexible to meet current day or task demands
  • Effective communication skills with the ability to interpret and follow directions
193

Treasury, Analyst Resume Examples & Samples

  • Provide Treasury Back Office Transaction processing support to deliver Treasury Back Office services to BASC‘s customers in accordance with established processes and work procedures and in compliance with BASF policies and guidelines, ISO, FRC and local company legal and statutory requirements
  • Provide timely and accurate information on BASC’s customer companies’ information on liquidity status and forecast, debt and foreign currency exposure for decision making at treasury Front Office for depositing, loan draw down and hedging activities
  • Ensure timely and accurate deal confirmation and posting of treasury related transactions including fund transfer, accrual and actual interest, commissions, bank charges, month to month value posting
  • Ensure that service timelines and service quality are met in the delivery of Treasury services
  • General understanding of bank accounts, loans, currency exchange, derivatives, cash pooling, netting, treasury operation and risk management
  • General understanding of local regulatory requirements on domestic fund transfer, cross-border payment transactions and trading of financial instruments
  • Proficiency in English and good communication skills with internal and external counterparties including banks
194

Treasury Analyst Resume Examples & Samples

  • Participates in balancing previous day cash and debt activity and summarizing current day activity to determine required cash and debt positions
  • Assists in implementation and execution of banking transactions
  • Performs daily reporting on cash and debt activity, as well as other treasury related operations
  • Documents and maintains all necessary bank accounts and services under the direction of supervisors
  • Supports processes and analysis to manage foreign exchange risk
  • Ensures internal controls are properly followed within in the Treasury Department
  • Performs ad-hoc analysis at the direction of supervisors
  • 4 Year degree or 2 year degree and 2 years relevant experience or 3+ years of relevant experience
  • Able to analyze and resolve issues and problems in a sound and timely fashion
  • Able to express ideas clearly and convey necessary information
  • Able to interact effectively with supervisors and peers
  • Able to maintain and promote social, ethical, and organizational standards in conducting internal and external business activities
  • Able to maintain confidentiality of sensitive information
  • Able to use relevant computer system applications (which may include spreadsheets, word processors, databases, etc) at a basic level
195

Regional Treasury Analyst Resume Examples & Samples

  • Ensure prudent management of our financial resources like balance sheet / risk-weighted assets (RWA) capacity and capital, liquidity & funding in the Swiss region
  • Partner with and advise our Business Divisional and Legal Entity stakeholders to plan, review, assess and manage the scarce financial resources in a manner that supports the businesses as well as UBS Group strategy optimally while maintaining a prudent risk position
  • Maintain UBS Switzerland AGs relationship with our regulators on treasury topics and review all treasury related regulatory reports as well as liquidity, funding and capital documentation and related policies
  • Support, evaluate and approve the treasury aspects of new business initiatives in the region and legal entity strategic change initiatives
  • Deliver treasury analytics on an ongoing basis, such as regional liquidity indicators and entity, divisional and product analysis. Ensure daily monitoring of the liquidity positions of UBS Switzerland AG and forecast requirements and communicate/explain significant movements to senior management
  • Coordinate the agenda and materials for the monthly UBS Switzerland AG Asset and Liability Committee (ALCO) meetings
196

Treasury Analyst Resume Examples & Samples

  • ACH, wire transfer and check processing
  • Daily cash reporting
  • Ad hoc reporting and bank fee analysis
  • Resolve treasury-related issues as needed
  • Policy and procedure drafting
  • Update and track cash daily
  • Monitor short term cash positions
  • Understand the corporate structure and the appropriate flow of cash across all bank accounts
  • Learn all bank portals and be able to process wires, pull reports and navigate the websites
  • Identify inefficiencies in current processes and implement solutions to improve them
  • Be able to research wires and checks and respond to requests timely
  • Work effectively with the rest of the Treasury team in all locations
  • Assist with the implementation of new treasury software
  • Ability to work well in a fast paced environment with tight deadlines and minimal guidance
  • A self-starter who is detail oriented
  • Ability to multi-task and prioritize effectively
  • Analytical and critical thinking skill
  • Excellent collaboration, verbal and written communication skills
  • Finance or Treasury background preferred, but not required
  • Moderate Excel/Outlook skills
197

Assoc Treasury Analyst Resume Examples & Samples

  • Gather daily EMEA bank account activities and update tracking spreadsheets for cash balance information and cash forecasting
  • Prepare weekly EMEA cash balance and receipts by geographic area
  • Review and monitor monthly banking service and related fees
  • Interact with Tax and Accounting on intercompany transactions (cost+) and help frame the settling of those transactions
  • Create wire transfers and other AP disbursements
  • Point of contact for EMEA cash pool
  • S-Ox compliance – all necessary approvals and checklists to be completed and signed off by Management
  • Assist in debt covenant compliance
  • Update monthly inter-company loan amortization schedules
  • Understand and adhere to all Corporate Polices to include but not limited to ACI Code of Ethics and Global Information Security
  • Contribute as required to projects within the wider Finance and TAX teams
198

Treasury Analyst Resume Examples & Samples

  • Improve cash management processes and maximize efficiency in the use of cash; manage cash pooling and entrustment / intercompany loans to minimize interest expenses and maximize interest income; Develop strategy to ensure cash is pooled / concentrated, and overseeing technology changes, implementations, and improvements
  • Well versed in China macro economical risks, including FX exchange rate, SAFE regulations, and bank related policies or regulations, or other relevant policies or regulations including those impacting payment method, as well as other potential financial liabilities, etc
  • Participate in the company’s FX management strategies and transactions
  • Maintain effective relationships with banking partners and internal customers
  • Monitor and communicate regulatory changes and their impact on the business to management
199

Treasury Analyst Resume Examples & Samples

  • A portfolio management specialist who possesses the skills of fundamental valuation based on company and economic analysis and who also understands the impact of F/X, interest rates and other macroeconomic factors impacting the equity investments
  • The ideal candidate has sector knowledge within Retailing, Marketing, Technology, Distribution, Logistics & transport and Sustainability
  • Experience within both developed and emerging equity markets
  • A highly analytical specialist, who can complement the development of the overall Treasury Asset Management processes
  • The candidate has documented experience in successfully managing financial assets in an unconstrained institutional environment
  • The candidate must be a team player who can adapt to a non-hierarchic & down to earth values
  • An open and dynamic personality, who easily fits into the competent and talented team at Group Treasury,
  • There will be focus on leadership skills and more importantly on collaboration and team orientation
  • CFA preferred or ACCA/ACA
  • Experience in use of IT platforms such as Bloomberg andmicrosoft excell
  • Must have multi-disciplinary thinking, intellectual curiosity, and be a strong team player
200

Taxation & Treasury Analyst Resume Examples & Samples

  • 3+ years of experience in tax/finance/controlling
  • Knowledge of Canadian tax regime and relevant tax laws and practices
  • Strong communication skills (verbal, written, interpersonal) and presentation skills
  • Ability to interact with diverse disciplines across a large matrix organization
  • Strong analytical skills and accuracy are critical to the position
  • Computer literacy and proficiency in Excel, Access, Power Point, Word, Lotus Notes, SAP, TaxPrep and other tax software's
  • Limited work travel is required
201

Treasury Analyst Resume Examples & Samples

  • Implement Treasury services for new UHG products and processes
  • Provide Treasury Consulting Integration Support
  • Provide bank and account information and customer service support to Treasury, Business Units, Audit, and others, as required
  • Create, enhance, and document process flows and policies and procedures related to bank relationships, contracts, and account maintenance
  • Extensive oral and written communication with financial institutions personnel, Enterprise Legal counsel, and other UnitedHealth Group business groups
  • Bachelor’s degree in Accounting or Finance or related field
  • Intermediate experience with Microsoft Office including Word, Excel, PowerPoint, Outlook
  • Project Management experience or training
  • Strong influence and negotiation skills; the ability to gain acceptance from others of a plan or idea to achieve a beneficial outcome for the enterprise
  • Sound business and financial acumen
  • Excellent communication, analytical, presentation and interpersonal skills
  • Strong organizational skills - able to manage multiple projects and prioritize effectively
  • Ability to navigate dynamic environment with changing priorities
  • Adept at learning new concepts and applying principles and best practices into problem-solving approach
  • Professional or Internship experience in Bank or Non-Bank Treasury Management sales or implementation and/or applicable Finance experience including treasury, cash management or financial analysis
  • MS Visio and Access
202

Treasury Analyst Resume Examples & Samples

  • Prior experience in Banking/Corporate Treasury advantageous
  • Part qualified or willing to work towards a Treasury Qualification e.g. AMCT
  • Proficient in MS Office applications (particularly Excel)
203

Treasury Analyst Resume Examples & Samples

  • Reviews operations’ exposures and provide advice on FX hedging
  • Liaises closely with relationship banks and executes FX hedging contracts
  • Executes internal FX hedging contracts based on operations exposure submission or ad hoc requests
  • Analyzes FX deals and exposure for Treasury Centers and ensures adequate hedges are in place to minimize volatility
  • Controls, optimizes and minimizes FX hedges portfolio
  • Develops and provides appropriate reporting on FX transactions to operations and management
  • Participates to treasury operations improvement programs
  • Supports specific treasury projects to increase operational excellence related to FX trading process
  • Functions as back up for intercompany financing and daily cash management activities
  • Open to recent graduates with a Bachelor of Science / Arts in Business Administration or Economics
  • Detailed oriented, analytical and accurate
  • Comfortable in fast moving and changing environment
204

Treasury Analyst Resume Examples & Samples

  • Provide analytical support for the development and execution of liquidity strategies and banking structures
  • Journal creation for bank account transactions includes assigning GL codes and ensuring journals are uploaded into appropriate financial systems
  • Assist in the development and execution of international subsidiary financing and cash repatriation
  • General analytical support for treasury initiatives, including cash forecast, interest expense forecast, investment policy, M&A support
  • Serve as a back up to all other treasury operational activities as appropriate
  • All duties or treasury projects as directed or modified
  • Minimum education requirement: Bachelor's degree preferably in finance, accounting or business
  • A record indicating a high level of analytical ability that enables the person to think independently and propose thoughtful recommendations that add value
  • Must be a team player and highly energetic, able to operate at a high level in a fast-paced environment. Posses a strong work ethic and the drive to become a financial leader within the Company
  • Strong interpersonal and communication skills, oral and written
  • High level of intellectual curiosity with the ability to see the big picture while maintaining attention to details. Ability to focus on essentials and prioritize appropriately
  • Intermediate to advanced skill with the full suite of Microsoft Office products, preferably including the extraction and manipulation of data from ERP systems; Visual Basic and advanced Excel experience preferred
  • Knowledge of Oracle and HFM a plus
205

Treasury Analyst Resume Examples & Samples

  • Responsible for cash flow forecasting, variance analysis, and reporting to include: meet with stakeholders (Project Management, Project Controlling, Transportation) to complete weekly forecast, develop reports to explain changes to forecast, and load forecasts to the ERP system
  • Responsible for monthly currency exposure forecasting and reporting
  • Oversight and review of bank accounts to ensure sufficient cash flow and daily/monthly reconciliations
  • Assist Shared Service Center with cash transaction postings in SAP and monthly reconciliation items
  • Process manual wire transfers using independent judgment
  • Maintain bank relations to resolve payment issues, research inflows, and open/administer accounts
  • Monitor status of overdue receivables and adjust cash forecast accordingly
  • Research background material and analyze data for reports, correspondence, and policy development
  • Maintain records of letters-of-credit and bonds
  • Create reports comparing forecast, actual, and previous forecast cash flow
  • Partner with the Corporate Credit Card Administrator on reports and analysis to ensure program compliance with spending guidelines and expense report tracking
  • Assist Cash Manager with monthly reports and presentations to executive management
  • Assist Cash Manager with the annual cash budget process
  • 2-5 years related job experience, treasury experience preferred
  • Working knowledge of banking practices and regulatory environment preferred
  • Very strong proficiency with Microsoft Excel
  • SAP and Access Database experience preferred
  • Demonstrated ability to effectively prioritize and manage multiple tasks concurrently
  • Strong organizational ability and attention to detail
  • Excellent customer relations skills
  • Experience working with contracts
206

Treasury Analyst Resume Examples & Samples

  • Leading monthly conference calls with sectors to understand drivers of cash receipts and disbursements for the rolling 3 month cash forecast
  • Preparation of variance analysis
  • Collaboration with Financial Planning (FP) to evaluate variances between the FP and Treasury forecasts
  • Presenting the rolling forecast to senior Treasury management
  • Update Actuals and Cash position on a daily basis
  • Preparation of weekly cash summary
  • Monthly foreign balances reporting
  • Determining funding needs of foreign entities
  • Cash debit balance reporting
  • Modeling and “What if” scenarios of future forecasts
  • Preparing quarterly Treasury Operations dashboards
  • Backup to Cash Position Desk
  • Bachelor’s degree in Finance or related field with a minimum 6 years of experience in an analytical role and 4 years of Treasury experience
  • An understanding of Northrop Grumman’s corporate structure and experience collaborating with Northrop Grumman sectors
  • Strong analytical capabilities with quantitative focus
  • Advanced MS Office skills particularly Excel
  • Previous Corporate/Sector Contracts, Supply Chain, Pricing, Finance, or other Business Management coordination
207

Treasury Analyst Resume Examples & Samples

  • Manage project lifecycle of scoping, documentation, implementation, and integration on behalf of Treasury Manage and understand key Treasury concepts related to contract negotiation with Legal and our banking partners
  • Drive Treasury requirements in implementations of projects to deliver the most cost effective, scalable, and secure banking services set up for Amazon
  • Manage bank account implementations/openings globally to support new business expansion
  • Dive deep, take the lead, and support driving process improvement in daily tasks
  • Bank relationship management, including new country RFIs for banking partner selection
  • Generate reporting packages related to project status, banking partner SLAs, and KPI metrics
  • Previous Treasury, Shared Services, or Finance experience strongly preferred
  • Must be a self-starter who is able to work independently and interface with all relevant internal teams and external business partners as needed
  • Ability to learn quickly in a dynamic environment and proactively initiate and champion change
  • Experience with understanding complex process flows and driving process improvements
  • Strong interpersonal skills, including written and oral communication skills as well as dealing with ambiguity
  • Proven ability to meet deadlines while managing multiple projects
208

Treasury Analyst Resume Examples & Samples

  • Assist in managing global cash positioning and creating efficiency in global bank account structure
  • Responsible for providing financial and analytical support including: daily, weekly, monthly reporting on financial and non-financial metrics
  • Responsible for supporting new business expansion and new country expansion
  • Generate reporting packages related to cash and investment performance attributes and returns
  • Ensure full utilization of the Treasury workstation including reporting processes
  • Assist in the issuance and administration of letters of credit
  • 4+ years of experience in Treasury, Finance, or banking industry
  • Excellent communication, organizational, and problem solving skills
  • Fluency in standard software - primarily Excel
  • Experience with Treasury tools such as banking portals and TMS
  • Self-starter who is able to work independently and interface with all relevant internal teams and external business partners as needed
  • Aptitude to roll up your sleeves and get things done, while educating others
209

Treasury Analyst Resume Examples & Samples

  • Supporting the system administrator in the management of user permissions
  • Maintaining systems and reporting (BI) for a global Treasury organization
  • Ensuring compliance with SOX and Internal Audit requirements
  • Troubleshooting and resolving technical errors
  • Managing data configuration
  • Building insightful reporting that drives business decisions
  • Planning, coordinating, and implementing projects to ensure that company goals and objectives are accomplished
  • 2 years Treasury experience with multi-national corporation
  • SOX compliance exposure
  • A work ethic with the desire to exceed expectations
  • Strong interpersonal skills, including written and oral communication skills
  • CTP, MBA, CPA or similar
  • Experience in identifying SOX compliance deficiencies and implementing mitigating controls/processes
210

Treasury Analyst Resume Examples & Samples

  • Actively manage operational Treasury activities in Europe and provide world class service to internal customers (e.g. Local Financial Controlling, Tax, AP, C&B) in Treasury related areas
  • Ensure the establishment of Best Practice processes and implement process efficiencies
  • Actively cooperate with Mondelez International Finance in terms of Cash Management, FX, Intercompany and Cash Repatriation
  • Actively manage the finalisation of the transition to OneBank, reducing the current relationships with legacy banking partners and managing the remaining banking services in a centralized manner
  • Provide cross regional cooperation and support other Regional Treasury Centres of Excellence by sharing experience and seeking opportunities for further centralization and processing efficiency
  • Global Bank account management, pooling structures
  • Identify and implement process efficiencies in Bank Account Management area
  • Support the Project of electronic Bank account management (eBAM)
  • Update the bank signatories, bank mandates in line with existing SOX requirements and business needs. Provide support and reports for compliance related activities
  • Ensure sufficient liquidity is maintained on non-pooled accounts, keeping balances within approved limits
  • Cooperate with Front office on FX requests processing and manage the existing credit lines (DOL, others), increase the temporary DOL when required
  • Actively participate on dividend payments processes and cooperate with Project team on Cash repatriation process
  • Ensure the establishment of Best Practice; implement and roll out the Best practice approach for all countries in region. Identify and implement process efficiencies
  • Support the Centralization of Bank guarantees issuance under the new Global Bank partners. Support Internal customers with Bank guarantees issuance and maintain the relevant communication with external partners
  • Provide cross regional cooperation with other Treasury CoEs, share experiences from own centralization projects and best practices for areas of responsibility
  • Seek potential further centralization and process improvements
  • Cooperate with external auditors in Statutory audit in Treasury related items, provide all necessary documentation needed for audit
  • Cooperate with Internal controls and Compliance team in terms of regular SOX reviews and policies updates
  • Must have University degree or equivalent (Finance, Economics or Accounting)
  • Good understanding of Treasury and/or Finance processes is an advantage
  • Work experience within a large multinational’s Treasury or Finance department minimum 2 years
  • Exposure to Treasury Management in an international environment (SSC, or Banking business) is an advantage
  • Good understanding of treasury related processes within an international business
  • Highly organized and able to successfully manage multiple priorities and assignments
  • Proactive and resourceful in solving problems, offering innovative and practical solutions in dynamic environment; strategic thinking
  • Strong Interpersonal and Communication skills (oral and written) and strong ability to build relationship within organization
  • High level of numerical and analytical skills and attention to detail
  • Strong Banking applications is an advantage and MS Office skills in particularly Excel, PowerPoint
  • Other European language is preferred
211

Treasury Analyst Resume Examples & Samples

  • 2) Demonstrable Excel modeling skills
  • 3) Ability to be both creative and efficient in the development of Power Point presentations
  • 4) Excellent verbal and written communication skills, with the ability to interact with all levels of the organization
  • 5) Ability to confidently present detailed information to senior management
  • 6) Highly organized, with ability to efficiently prioritize work assignments and meet deadlines
  • 7) Self-starter, confident, eager to learn
  • 8) Comfortable working in a team environment
212

Treasury Analyst Resume Examples & Samples

  • Review the department AR email Inbox to research and resolve items by contacting our field operations personnel or reaching out directly to our client
  • Request client refund checks, providing all supporting documentation
  • Receive and prepare daily incoming client and vendor checks to corporate for over-the-counter deposit and/or overnight to company lockbox. Post transactions to company financial platform
  • Compile remittance detail for electronic funds transfers (EFT) payments including obtaining all necessary back-up from various data sources and keying related information into a spreadsheet for import to company financial platform
  • Extract lockbox client payment details from bank and apply to client invoices via upload into company financial platform
  • Prepare cash forecasts for future cash needs to senior executives
  • Reconcile bank accounts and cash exchange balance sheet accounts. Report and provide assistance to functional areas in resolution of reconciling items. Maintain accurate outstanding check lists for unclaimed property return filings
  • Administer and coordinate the state unclaimed property return process with a third party vendor. Perform due diligence on eligible unclaimed property. Supply all valid unclaimed property by state and entity (outstanding payroll and accounts payable checks and client overpayments and credits) to third party vendor
  • Reconcile unapplied cash items and any bank account or general ledger reconciling items. Research and resolve items by contacting operations or directly with client. Handle all internal and external inquiries through resolution
  • Validate and process all accounts receivable offsets received from billing department within cash posting module
  • Process client credit card payments and research and resolve any inquiries and issues
  • An understanding of the overall banking business environment
  • Strong analytical skills. Experience creating or analyzing reports a plus
  • Solid interpersonal and written communication skills to effectively document and report important information with all levels of the organization
  • Superior attention to detail to ensure all process steps are followed and data/information is correct
  • Ability to multi task and finish process steps while using problem solving skills
  • Dedication to high quality customer service delivery and integrity through proven client and customer relationships, both internal and external
  • Ability to work independently in a fast paced environment while also working in a team oriented, collaborative environment
  • Strong knowledge of Word, Excel and Outlook
213

Fro-treasury Analyst Resume Examples & Samples

  • Reporting current liquidity position through the production of the daily Gap Analysis Report
  • Supporting Functional Projects and reporting related to CRDIV/Basel III implementation
  • Must possess strong knowledge of Balance Sheet composition and Liquidity Risk Concepts
  • Risk Management, Financial Control, Audit, Operations
214

Treasury Analyst Resume Examples & Samples

  • Demonstrated knowledge of financial systems; internet and computer literacy
  • Knowledge of Generally Accepted Accounting Principles (GAAP) helpful but not required
  • Strong communication skills, including ability to prepare materials for and clearly and effectively communicate information to internal and external audiences and client groups
  • Demonstrated project management skills and ability to contribute to or lead part of a multi-functional team
215

Treasury Analyst Resume Examples & Samples

  • Responsible for cash forecasting (Daily/Weekly/Monthly/13 Weeks)
  • Partner with various department heads to create, update, and analyze all related variable such as but not limited to the following: Receipts – Retail Sales, Wholesale Sales, Licensing Revenues, Store Construction Allowances, International Affiliate Receipts; Disbursements : COGS – utilize manufacturing system to project / schedule cash needs related to COGS, Letters of Credit, A/P – manage & control A/P releases (including rent), Payroll & Benefits, Sales/Payroll Taxes, Interest, International Affiliates, etc
  • Maintain banking relations, banking operations (administration, manage fees, etc.), wire/ACH transfers, check review, and initiate/oversee global banking platforms
  • Create & issue daily financial flash, along with daily and weekly management reports
  • Issue Daily Float (Outstanding Checks) reports
  • Review other management reports
  • Company-wide projects e.g., standardization, policies and procedures, etc
  • Post journal entries onto JD Edwards ERP
  • Ad hoc as requested
  • Advanced computer literacy in Microsoft Office Suite – Word, Excel, Access, PowerPoint
  • Ability to work with financial and banking systems
  • ACS, JD Edwards experience is a plus, but not a requirement
  • Bachelor’s degree in Finance/Accounting from a four-year college/university
  • 3-6 years experience, or combination of equivalent education and experience in accounting and finance
216

Treasury Analyst Resume Examples & Samples

  • 4+ years of Treasury or Accounting or Finance experiences in multinational company; more than 1 year in treasury role with extensive relevant knowledge is advantage
  • Ability to solve problem independently in an ambiguous and fast paced environment
  • Strong desire to learn and do more
217

Treasury Analyst Resume Examples & Samples

  • Reconcile cash and/or securities between internal systems and custodians
  • Post transactions to portfolio system – based on custodian activity or otherwise required to resolve exception items
  • Analyze and research cash and/or security exception items
  • Complete tracking for own Performance Plan
  • Accounting experience in automated environment
218

Treasury Analyst Resume Examples & Samples

  • Working knowledge of risk management techniques and strategies
  • Effective communication, presentation and interpersonal skills
  • High level of integrity, initiative, motivation and curiosity
  • Strong analytical skills, problem solving and strategic thinking
  • Working knowledge of Bloomberg and/or Reuters, SAP
  • 3-6 years of finance experience in a corporate environment, preferably including Treasury experience
219

Treasury Analyst Resume Examples & Samples

  • Provides mentoring and training to other partners on reports, systems and financial process flow
  • Two or more of the following areas: cash management, financial or commodity risk management, investment management or finance (3 years)
  • Financial analysis and reporting (3 years)
  • Ability to be an ambassador of the Company to current and potential internal and external partners, clients and customers
  • Basic knowledge of U.S. international payment systems
  • General knowledge of global capital markets
220

Treasury Analyst Resume Examples & Samples

  • Managing daily liquidity requirements
  • Global treasury systems and internal finance programs
  • Mitigating foreign exchange risk
  • Monitoring and recording daily liquidity requirements
  • Managing the internal financing programs for global treasury
  • Capital Markets
  • Corporate Banking Products and Services
  • Foreign Exchange Markets
  • Treasury Management Systems
  • Microsoft Products
  • Bachelors degree in business or finance
  • 3 years financial/treasury experience
  • 1 year of foreign exchange risk management experience
  • MBA or CPA
221

Treasury Analyst Resume Examples & Samples

  • Work with the Cash Manager and incumbent Treasury Analyst in managing the daily domestic cash position including funds transfers, liquidity management, short term investing and borrowing, and routine foreign exchange purchases. Support international liquidity management, investments and operating requirements
  • Complete bank account opening, closing and maintenance activities and maintain bank account database
  • Fulfill bank system security administrator role including user set-up, system functionality and issue resolution
  • Become an expert user of Treasury Management System and various software programs to provide operating efficiencies and develop new reporting capabilities
  • Prepare various departmental reports and analyses
  • Liaise with Accounting, Tax, Accounts Payable and Receivable and other internal departments to facilitate the transfer of knowledge and data
  • Resolve all cash management issues or problems on a timely basis, including bank account activity inquires
  • Ensure compliance with key Treasury controls; assist with the update and maintenance of departmental process, control and policy documents
  • Solid computer skills, including Microsoft Office applications, especially Excel and Word
  • Must work well in a team environment
  • Exposure to a large, multinational corporate environment is a plus
  • Bachelors Degree: Business Administration (Finance, Accounting, Marketing, Economics) (Required)
222

Treasury Analyst Resume Examples & Samples

  • Prepare and assist the director in filing all federal, state, and municipal returns, extensions, and estimated payments
  • Prepare tax provision schedules by preparing and consolidating provision schedules
  • Interface with external tax advisor/auditor as necessary (Ernst & Young at present.)
  • Respond to information requests from necessary departments and/or other entities in a timely and professional manner
  • Research tax theory and positions, and discuss with the director on applicability to specific needs
  • Identify potential tax strategies by researching federal, state, and local taxation issues in a proactive fashion
  • Understand information necessary to perform accurate research, develop recommendations, and assist with follow-up or implementations as needed
  • Assist the director with regard to all entities in responding promptly to notices received from any federal, state or local agency
  • Participate in educational opportunities; remain current on professional publications; maintain professional networks/participate in professional organizations
  • Support the mission by completing related results as needed
  • Ensure privacy and confidentiality of information in every step of the process
  • Exercise a high degree of independent judgment
  • Takes initiative to identify potential tax risks/opportunities
  • Assist all entities in responding promptly to any notices received from the IRS, State of Ohio, Cuyahoga County and/or any other federal, state or local department
  • Reliable and responsible
  • Accuracy, integrity, and confidentiality of data maintained
  • Prepares and provides detailed work papers
  • Ability to work with a team
  • Follows through on requests in a timely manner
  • Shares information and knowledge
  • Communicates effectively with management and peers
  • Demonstrates excellence in relationships with co-workers
  • Maintains professional behavior consistent with role
  • Maintains composure under difficult conditions
  • Completes projects in a timely and efficient fashion
  • Documents all issues and/or questions addressed
  • Keep apprised of tax law changes
  • Gives feedback positively to ensure service excellence
  • Interaction with management, staff, and consultants to effectively gather and communicate facts and circumstances to arrive at best outcomes
  • Engaged to identify tax risks/opportunities and driving change
  • Develops and maintains strong working relationships with tax advisors
  • Demonstrates behaviors which significantly impact the productivity, efficiency or quality of the department
  • Demonstrates behaviors which significantly impact the productivity, efficiency or quality of entities
  • 3 - 5 years relevant work experience required
  • Advanced user of Microsoft Excel, proficient in Microsoft Word and PowerPoint
  • CPA or MBA preferred
  • Experience working with tax software packages (CCH, BNA, GoSystems, etc.)
223

Treasury Analyst Resume Examples & Samples

  • Prepares long term capital plan and funding scenarios leveraging strategic business plans
  • Monitors and reports on investment performance and compliance to internal policy and benchmarks
  • Partners with treasury operations team on commercial paper program and short term investment management
  • Creates and maintains adequate documentation supporting treasury workflows and controls
  • Incorporates accounting, tax and market factors where appropriate. Identifies issues and may make recommendations on alternative courses of action based on the analysis
  • Financial or commodity risk management
  • Accounting
  • Highly collaborative including with cross functional teams
  • General / basic understanding of the Sarbanes-Oxley Act of 2002 and its application to controls over financial reporting
  • Basic knowledge of operational and financial controls
224

Treasury Analyst Resume Examples & Samples

  • The Analyst will support all aspects of Treasury Operations activities, including daily management of cash, cash forecasting, ABL compliance and assisting with the development of cash management banking solutions
  • Gather, interpret and present information in support of cash management and treasury operations. This includes preparing and distributing daily dashboards, daily cash reconciliations, and monthly status reports
  • Evaluate daily country funding needs and provide recommendation of moving funds or borrow/pay down against credit facility
  • Monitor and/or perform the cash movements via electronic funds transfer systems under strict internal/external time deadline
  • Prepare daily and weekly cash forecast. This includes coordinating information from multiple groups and providing variance explanation on actuals versus forecast
  • Work closely with collections to improve visibility in cash forecast and assure goals are aligned. This includes establishing collection goals and assuring alignment with cash forecast
  • ABL compliance and analysis. Compile supporting schedules for the bank on a weekly and monthly basis. Provide projections of borrowing availability and analysis of actual calculation. Manage the ABL audit including providing ad hoc data requests
  • Assist in the hedging program. This includes preparing the forecast schedule, monthly entries, monthly audit and quarterly reporting
  • Review and confirm foreign exchange trades as initiated by Treasurer in support of global hedging programs
  • System administrator for online banking system
  • Create intercompany loan documents and maintain monthly schedule calculating interest charges per loan agreements. Assure alignment balance and entries with accounting
  • Administrator for online bank access. Assure proper security and support is provided
  • Be responsible for identification and implementation of process improvements as well as perform special project analyses related to working capital and bank services
  • Establish collaborative interpersonal relationships to identify new opportunities, target improvement ideas, and implement solutions
  • Prioritize duties and leverage resources to perform other duties and miscellaneous special projects
  • Basic knowledge of foreign exchange transactions
  • Excellent communications skills. Individual must be able to work well with others as this position requires considerable interaction with other departments
  • Able to work well in a high stress team environment with tight daily deadlines
  • Ability to define issues, collect data, establish facts and draw valid conclusions using learned techniques and tools
  • Advanced Excel and financial modeling skills
  • Bachelor’s Degree in Finance, Accounting or related field
  • 5-10 years of related experience, including 1-3 years of cash management experience in both Domestic and International Treasury Operations highly desirable
225

Treasury Analyst Resume Examples & Samples

  • Handles Treasury/Cash Management inquiries from other departments
  • Prepares monthly cash pooling reports for Accounting
  • Ensure all bank accounts have sufficient cash available to fund operations
  • Prepare monthly bank fee analysis
  • Liaison between bank and various departments
226

Treasury Analyst Resume Examples & Samples

  • Responsible for EBTPS Workflow management and issue resolution. (create, modify, delete user accesses)
  • Execute & manage the Bank documentation process for user management for the region
  • Coordinate with Business teams, Budapest SSC team, Treasury Services Analyst & Banking partners to ensure smooth execution of services requests
  • Maintain repository of documentation requirements for various service setup with Banking platforms across the region
  • Partner with Banking services lead to ensure legal agreements / documents have been reviewed and approved by the Corporate Treasury legal team
  • Maintain relationship with partner banks on weekly basis
  • Maintain KPIs for the EBTPS process
  • Participate in various EBTPS migrations and issue resolution
  • Bachelor’s Degree in finance, accounting or related field
  • Some experience in support function, operations or process improvement experience
  • Experience in bank platform related processes
  • Good command of other EU language preferably Spanish
  • Flexible and fast learner
227

Treasury Analyst Resume Examples & Samples

  • Assist with the preparation of daily and monthly cash reporting and cash posting
  • Work closely with Treasury Team on global treasury and risk management projects
  • Formulate, procure, implement, and oversee insurance policies and procedures
  • Assist with processing of domestic and international wire/ACH payments
  • Serve as liaison to brokers, carriers, bankers, and other third party vendors
  • Review renewal policies and compare various methods of insurance coverage
  • Investigate claims and oversee settlement of losses
  • Monitor all treasury management bank fees to make recommendations for cost savings and improved efficiencies
  • Ensure compliance and interface with applicable regulatory agencies
  • Ensure compliance to all covenants in credit agreement and complete quarterly reporting to each financial institution in bank group
  • Monitor all risk management related costs to identify opportunities for cost savings
  • Assess proper internal cross-charges for global premiums
228

Treasury Analyst Resume Examples & Samples

  • Monthly preparation of invoices that support the intercompany settlement process
  • Bi-Monthly EMIR and Global Repository reporting of all applicable FX contracts
  • Preparation of monthly FX volatility analysis
  • Maintain and calculate interest of intercompany loans
  • Monthly netting settlement process for related FX contracts
  • Track and communicate all intercompany settlements with our controllers organization
  • Wire delivery of all spot trade settlements worldwide
  • Wire delivery of International Treasury transactions
  • Prepare monthly accounting journal entries and MTM revaluations of forward contracts
  • 1-3 years corporate business experience
  • Independently motivated to make a difference in this highly visible team
229

Treasury Analyst Resume Examples & Samples

  • Drive settlements of Intercompany balances in Asia Pacific, Eastern Europe and Africa regions
  • Execute FX spot transactions
  • Preparation and submission of global CPI report
  • 3 – 5 Years FX and/or Treasury experience
  • FX transactional experience
230

Treasury Analyst Resume Examples & Samples

  • Generate financial reporting, which includes
  • Years of Related Professional Experience: 3+
  • Bachelor's Degree in accounting, finance or related field. MBA/CPA certification (candidate)
  • 3 years related experience in multinational public company
  • Clear career progression demonstrating success with experience in financial analysis and implementations of various projects
  • Knowledge of accounting standards codification and practices related to foreign currency and other derivatives
  • Systems expertise with Excel, PowerPoint and other modeling skills; Reval or First foreign currency software experience a real plus
  • Self-starter that demonstrates organizational skills and is detail oriented
  • Strong analytical and conceptual thinking for both strategy and tactical execution
  • Ability to focus on new and innovative improvements to meet a demand for growth and excellence
  • Must have high standards for self and brings projects to completion
  • Team player and supporter who exhibits high professional conduct, high output, and enthusiasm
231

Treasury Analyst Resume Examples & Samples

  • Responsible for the controlling and administration of the EBTPS platforms across banks. Activities include user and access management & SOD validation, account provisioning etc
  • Support business integrations relating to the use of EBTPS platforms, testing and coordination with banks etc
  • Provide support and trainings to business users setup on Treasury managed EBTPS platforms
  • Prepare KPI’s and metrics for management review
  • Partner with Treasury process leaders to ensure standardization of process across the globe
  • Support cash and bank related simplification projects
  • Ad hoc tasks assigned by direct manager
  • Bachelor’s degree in Accounting, Finance
  • Treasury Cash operations or related Treasury operational experience, 2-3 years experiences in Treasury related operation preferred
  • Experience working with Banking Platforms preferred (i.e. Citidirect, DBdirect etc.)
  • Keep high standard of business integrity
  • Strong process execution and customer service mindset
  • Good organizational and prioritization skills
  • Good team player with a positive outlook, can work under pressure
  • Can accept OT and business travel with remote distance
232

Treasury Analyst Resume Examples & Samples

  • Work closely with business, Treasury and bank to make sure bank draft and bank guarantee application properly prepared and timely issued
  • Review trade contract or bidding document terms for bank guarantee issuance qualification
  • Periodically work with treasury for umbrella facility allocation
  • Issue bank credit letter timely to support bid or other biz requirements
  • Pre-review bank draft or check to mitigate the risk brought by bank draft application
  • Process bank draft acceptance/endorsement/discount and ensure cash-in on time
  • Keep complete record/filing and safeguard documents including bank draft, bank guarantee, etc
  • Perform periodical review and self-check on bank draft and bank guarantee
  • Work closely with AR, sales, business and treasury to facilitate and streamline the process
  • Bank draft and guarantee related documents filing and custody
  • Bank draft and guarantee periodic analysis and feedback to business
  • Participation of projects on system/process improvement and simplification
  • Comply with Treasury, PBOC, SAFE and cash operation related policy and
  • Ad-hoc work assigned by direct manager or required by business
  • Bachelor’s degree in Accounting, Trade or Finance
  • Responsible, prudent, hardworking and can pay attention to details
  • Good command of English and fluent in Mandarin
  • Proficiency with MS Office suite, including Excel & PowerPoint
  • 1-3 years experiences required in bank draft/bank guarantee/treasury/trade operation
  • The ability to work independently with minimum supervision, a self-starter
233

Treasury Analyst Resume Examples & Samples

  • Ad hoc job assigned by Team Lead or manager
  • Good in speaking and writing English as well as Chinese
  • Good at Excel and Power point
  • Able to work independently and work at holidays/weekend/non-office hour upon request
  • Good communication skill, present and diligent
  • Master degree in Finance/Accounting/Investment or MBA with degree major in Finance/Accounting/Investment
  • With at least 3 years related working experience
234

Treasury Analyst Resume Examples & Samples

  • Forecast daily/weekly/monthly/yearly corporate cash flow
  • Recommend borrowing and investing actions to support optimal corporate liquidity
  • Produce and analyze weekly and monthly reporting metrics for executive management
  • Develop ad hoc reports to ensure effective cash management and budgeting
  • Serve as main liaison for all daily banking activities, including but not limited to opening/closing accounts, tracking fees, coordinating special projects between banks & operational staff, etc
  • Perform banking transactions and research/resolve exceptions
  • Drive treasury benchmarking activities against peer companies
  • Cross-train in all job functions within Treasury and Risk Management Department
  • Handle all credit card processing and p-card administration
  • Strong quantitative skills to analyze and assess all facets of an Income Statement, Balance Sheet, and Statement of Cash Flows
  • Knowledge of cash/bank management products
  • 5+ years of relevant treasury or related corporate finance experience
  • Above average proficiency in Microsoft Excel
  • CTP, MBA, or CPA credentials a plus
  • Experience with advanced cash management strategies including, but not limited to hedging, factoring, financing, etc
  • Working knowledge of multiple online banking platforms such as Citizen Bank’s Money Manager, JP Morgan Access, and PNC Pinnacle
  • Experience pulling reports and building ad hoc analysis on IBM’s Hyperion and Deltek’s CostPoint accounting systems
  • Treasury workstation and bank software experience
  • Motivated self-starter who can manage various projects at one time
  • Strong attention to detail and confidence presenting analysis to senior management
  • Excellent communication skills; prefers picking up the phone rather than sending an email
  • Takes initiative and follows up regularly with outstanding tasks
  • Takes an objective look at current processes and thinks of ways for improvement
  • Willingness to take on additional responsibilities and build a career with ICF
235

Treasury Analyst Resume Examples & Samples

  • Perform daily cash positioning
  • Execution, review and approval of EFTs
  • Prepare rolling forecasts and forecast variance
  • Review and approval of daily bank activity in PeopleSoft
  • Management of Credit Lines
  • Research and resolve customer inquiries
  • Administration of Statutory Deposits
  • Compile requirements for internal and external audits
  • Ability to multi-task and meet deadlines while working independently and/or in a team environment
236

Treasury Analyst Resume Examples & Samples

  • Experience with Banking platforms inlcuding BNY, BAML, NATIXIS, JPM, and/or ETC
  • Experience with processing decent amount wires throughout the day
  • Knowledge of daily reconciliations and internal accounting system vs. various banking accounts
  • Experience working with IVP (Indus Valley Partners)
  • Experience working with VPM accounting system
  • OTC collateral margin knowledge
  • Prior buy side experience
237

Treasury Analyst Resume Examples & Samples

  • Interfaces with all lines of business to coordinate, implement and complete project plans
  • Monitors capital markets activity, including share repurchase activity and dividend administration
  • Structure and coordinate optimal intercompany loans and repayments. Monitor the intercompany loan portfolio and address upcoming maturities. Coordinate monthly intercompany meeting with Tax and Treasury staff
  • Prepare accurate and timely schedules for external reporting related to treasury
  • Willingness to lead treasury projects that can include heavy interaction with external vendors, store operations and other cross-functional teams
  • Monitor bank fees paid by the company and work with banking partners to add/remove services as needed
  • Monitor and ensure compliance on banking entitlements
  • Primary backup for setting daily cash position and monitoring bank account balances
  • Assist in providing accurate and detailed cash flow forecast
  • Maintain a functional knowledge of treasury topics to communicate effectively internally and externally to all levels of the business
  • Handle completion of time sensitive audit and compliance requests
  • Manage and facilitate share repo program
  • Bachelor’s degree in Finance or Accounting (or other related) required
  • At least five years of experience in Finance, Accounting or a related field preferred
  • Direct experience with cash positioning
  • Skill in attention to detail and accuracy with numbers required
  • Skill in verbal, written and interpersonal communication required
  • Skill and comfort in interacting with senior executives, outside company partners and accountants required
  • Skill with computers and above average proficiency in Microsoft Windows, Office 365, Word and Excel required
238

Treasury Analyst Resume Examples & Samples

  • University degree with financial or economics background
  • Experience in data analyses, financial reporting or reconciliation of financial data
  • Proactive and independent working style
  • Broad banking knowledge
  • Very good at English (written and spoken)
  • Very good at Excel and ideally proficient in MS Access (including VBA skills or willingness to adopt such)
  • Potentially experienced in Matlab or comparable software
239

Treasury Analyst Resume Examples & Samples

  • Prepare monthly compliance and securitization reports
  • Provide support preparing investor and rating agency presentations
  • Assist gathering and preparing data tapes before the each ABS debt issuance and during bank facilities renewal
  • Provide support for high yield bond issuance process and corporate revolver facility
  • Work closely with other members of the capital markets team to develop and to maintain a comprehensive database, and reporting for all debt related functions including fleet funding forecast, interest forecast, cash flow, bank relationships models
  • Provide support of our banking relationships and implementing program changes
  • Additional responsibilities for special projects as they arise
  • SOX and other internal compliance
  • Perform additional duties and projects as assigned
  • Bachelor's degree in Finance, Business Administration, or Accounting
  • Minimum of 2 years of experience in a Treasury or Banking environment
  • Minimum of 2 years doing detailed analytical work
  • Advanced Excel skills (Pivot tables, macros, etc)
  • Strong power point presentation skills
  • Ability to perform tasks and complete projects with minimal supervision using independent judgement
  • Ability to take personal responsibility to complete tasks and solve problems
  • Essbasse and HFM system knowledge is plus
240

Treasury Analyst Resume Examples & Samples

  • Bachelor's degree in business, finance, accounting or related subject
  • 1 – 2 years general finance or treasury experience
  • Experience in Microsoft Office (Excel, Word, PowerPoint)
  • Experience with Kyriba Treasury Software a major plus
  • Organization, project management, communication and collaboration skills
241

Treasury Analyst Resume Examples & Samples

  • Maintain, enhance and control of the group’s FX exposure management system (UFX) in conjunction with Technology
  • Identify opportunities to streamline work processes to enhance controls and increase efficiency
  • Dealing with queries relating to the day-to-day hedging and control process from Product Control, senior management and other areas of the firm
  • Knowledge of general accounting principles and ledger systems
  • Preferably 2-3 years experience in an analytical or accounting function
  • While not essential, experience in a banking environment would be an advantage, as would exposure to FX or Financial products
  • Excellent English knowledge
242

Treasury Analyst Resume Examples & Samples

  • Investment Reporting - Work closely with enterprise treasury and external investment managers to provide investment reporting and analysis for ALCO and risk management purposes
  • Asset-Liability (ALCO) Reporting - Gather, analyze and interpret data to produce reports for the monthly ALCO package
  • Assist with statistical analysis to support assumptions used in interest rate risk modeling
  • Margin Analysis and Forecasting - Perform profitability and interest rate margin analysis and forecasting
  • Deposit Pricing Analysis - Work with deposit product teams to build models used to make deposit pricing decisions
  • Support development and maintenance of balance sheet and liquidity stress testing
  • Collect, compile and transform data inputs for use in Funds Transfer Pricing (FTP) and Interest Rate Risk modeling
  • Participate in ALCO meetings and present Asset-Liability topics to Senior Management
  • Assist with the maintenance of treasury databases used to warehouse monthly balance sheet data
  • Serve as a backup supporting cash management functions including cash position reporting and wire and ACH funds transfers
  • 1+ years’ experience in a related experience in either Finance, Accounting, Economics, Information Systems, Banking or a related field
  • Strong Microsoft Office skills including advanced Excel
  • Previous experience working with data analytics (ex: analyzing trends, providing recommendations)
  • Relational database experience (SQL, Oracle)
  • Familiarity with statistical modeling
  • Familiarity with investment and bond markets
  • Knowledge of bank balance sheet structures
243

Fro / Treasury / Analyst Resume Examples & Samples

  • Involvement in testing, Project documentation and understanding regulatory guidelines
  • Must possess strong knowledge of Balance Sheet composition and IRE Concepts
  • Candidate having prior experience in similar profile (Preferred)
244

Treasury Analyst Resume Examples & Samples

  • Recent graduates with less than 3 years of experience in a similar finance or Treasury role in an MNC or large organization
  • Some working knowledge in Treasury function will be an advantage
  • Possess good knowledge of MS Office skills particularly MS excel skills
  • Highly credible, pro-active and a team player with “can-do” attitude
  • Able to work collaboratively within the group and across functions and as an effective independent member
  • Excellent interpersonal skills and customer focused, ability to interact and establish effective relationships at all levels in the organization
  • Meticulous, committed and able to meet tight deadlines
  • Any Finance or related Bachelor Degree
245

Treasury Analyst Resume Examples & Samples

  • Transacting receipts, payments, cash transfers, wires and funding
  • Establish bank accounts for responsible entities
  • Maintain bank and investment accounts for responsible entities
  • Monitor and execute daily liquidity requirements
  • Support supplier credit application process
  • Manage domestic account signatory records with bank
  • Produce company daily cash forecasts
  • Provide bank information to support company business, audit financial report and tax report
  • Daily adherence to cash management control environment
  • Support third party audit process
  • Oversight of third-party payment management systems
  • Establish and maintain bank accounts and bank account signatories of responsible accounts
  • Compile monthly interest income and interest expense schedules
  • Contact domestic banks for necessary information and documentation as required by business and law
  • Minimum 2 years related experience; Bachelor’s degree in accounting, finance, or a related field; or equivalent experience
  • Basic knowledge of financial statement analysis
  • Proficient in Microsoft Excel, Word, and Access
  • Oracle knowledge and experience preferred
  • Fluent command of English (written and verbal)
  • Proactive communicator with ability to seek solutions and develop positive working relationships
  • Applicant must be able to handle multiple responsibilities simultaneously, set priorities, and adhere to deadlines in an organized manner
  • Applicant must be a problem solver with a proven ability to research, analyze, produce and ensure the accuracy of highly detailed work
  • Possess a unique blend of attention to details as well as an overall understanding of the "big picture"
246

Treasury Analyst Resume Examples & Samples

  • BA/BS degree in Business, Accounting or Economics, MBA and/or CTP is a plus
  • 5 years of experience in finance or accounting, 3 years in domestic or international treasury
  • Experience in cash management, daily cash positioning and cash forecasting
  • Familiarity with foreign exchange and various online FX/banking platforms
  • Must be detail oriented and organized, and have the ability to multi-task
  • Highly action-driven, and able to meet deadline and deliver results
247

Treasury Analyst Resume Examples & Samples

  • Internal company debt management, including all the loans document (legal/tax) initiation and maintenance and servicing(including interest and principal payment)
  • Daily cash positioning/activities (preparing and initiating wires)
  • External 3rd party debt management, including covenant compliance and debt servicing
  • Short term investment management, including daily assess cash investment
  • International and domestic bank guarantee and letter of credit management
  • Global cash position tracking
  • Capital movement between business entities (intercompany)
  • Derivatives position maintenance
  • Providing information and analysis for Yearend/quarter end/month end closing, including intercompany transaction netting
  • Cash forecast and analysis
  • Assisting in debt capital market and derivative product’s analysis, including option valuation, Interest rate SWAP, foreign currency hedge, etc
  • Review and analyze investment activity of company investment portfolio to ensure compliance with the company Investment Policy
  • Serve as a back up to analyze and map all cash activity via the company’s treasury management system for preparation of the general ledger interface
  • Serve as a back up to the Cash Manager when needed. This includes the ability to initiate and process wires as needed and set initial cash position
  • Conduct some research items on relevant bank accounts, including subsidiary accounts, where appropriate
  • Compile and analyze corporate bank account, investment account and ancillary information (such as letters of credit) as well as subsidiary cash reports for compilation into the weekly cash report. An emphasis will be made for analysis of cash balances, investments and other noteworthy trends
  • Good knowledge in trade-related banking process
  • Familiar with any Treasury Workstation application
  • Minimum 2-3 years’ experience in Banking or Finance related position
248

Treasury Analyst Resume Examples & Samples

  • Bachelor’s Degree in Finance
  • Previous experience with Cash Flows, Reconciliations, Treasuries, Variance Analysis, Wire Transfers, and Accounts Receivable / Payable
  • Understanding of Accounting & Finance Principles
  • Working knowledge of Oracle General Ledger
249

Treasury Analyst Intermediate Resume Examples & Samples

  • Creative problem solving/Critical thinking
  • Assisting in the preparation of monthly and annual forecasts and reports
  • Bachelor’s degree in business administration, Finance or related field
  • Experience with GASB accounting
250

International Treasury Analyst Resume Examples & Samples

  • Serve as primary security administrator on global banking platforms and ensure compliance with online banking access procedures
  • Perform periodic reviews of existing users to ensure online banking access still appropriate
  • Maintain and keep current “Know Your Customer” compliance data in central depository
  • Analyze global banking fees monthly and provide reports to management
  • Prepare or approve wire transfers as directed by other Treasury personnel
  • Serve as back up to Regional Treasury Analyst
  • Assist with resolving internal clients Treasury issues and inquiries
  • Prepare routine and ad hoc reports for internal and external distribution