Job Description
Benefits :
Signode offers a comprehensive benefits package to full-time employees, which includes health, dental, vision, 401k, paid time off, life insurance, wellness perks, and more. Benefits begin the month following the hire date.
Salary :
The annual salary for this position ranges from $70,000 - $90,000 and varies based on specific responsibilities and geographic location. Starting annual salary within this range will be determined based on the candidate's experience, qualifications, and / or skillset.
Summary :
Signode is seeking a Treasury Analyst to join our global treasury team, reporting to the Senior Manager of Treasury. This role is responsible for supporting key treasury activities across North America, EMEA, and APAC, including cash flow management, oversight of cash operations, administration of the AP payment factory, and execution of factoring / securitization cash transactions. The analyst will also manage company programs related to Corporate Credit Cards (Travel Cards) and P-Cards.
Working closely with the Senior Manager of Treasury and the Treasury Manager for Europe, the Treasury Analyst will help maintain and strengthen relationships with financial institutions while fostering alignment with internal stakeholders across the organization.
The ideal candidate will possess the following qualities :
- Highly detail-oriented and analytical
- Strong problem-solving and decision-making skills
- Results-driven with effective communication abilities
- Able to multi-task and thrive in a fast-paced, complex environment
- Familiar with treasury concepts, practices, and procedures
- Demonstrates creativity and sound judgment in planning and executing treasury tasks
- Proactive in driving change and continuous process improvement
Essential Functions :
Prepare and process daily wires, account funding, cash concentration, and cash flow forecastingOversee AP payment factory cash transactions and factoring / securitization processes, including supplier financing programsAdminister company credit card and debit card programs, including collections, fees, and related analysisMaintain and update bank account, signer, and director lists to ensure accurate information and approval limitsPartner with banks and financial institutions on financing structures (e.g., accounts receivable factoring / securitization, leases, notes)Monitor and track compliance and covenant reporting requirements for existing credit facilitiesEvaluate and implement new banking technologies, products, and services to improve the cash cycle and simplify operationsEnsure adherence to Treasury compliance, documentation, and regulatory reporting requirements through strong policies, authorizations, procedures, and internal controlsAssist with managing external banking relationships, including account openings / closures, KYC processes, signature cards, banking forms, and letters of creditIdentify cybersecurity and fraud risks within Treasury processes and implement mitigation strategiesAnalyze Treasury data, including cash flow patterns and credit card expenses / feesDrive process improvements and implement solutions to reduce inefficiencies in Treasury operationsSupport the creation and maintenance of global policies governing finance and cash management activitiesUnderstand and apply global banking practices, including country-specific regulationsMaintain and reconcile intercompany balances, ensuring accurate classification of loans, interest, trade payables, and other transactionsPrepare intercompany loan agreements, interest calculations, and related journal entriesPerform quarterly intercompany clearing and associated journal entriesCollaborate with Accounting and Tax teams on Treasury-related tasks and reportingServe as a key contact for internal and external audits related to Treasury operationsProvide backup support for other Treasury team members as neededPerform other duties as assignedQualifications : Qualifications
Education :
Bachelor’s degree is requiredCertified Treasury Professional (CTP) certification preferredExperience :
3–5 years of relevant experience in treasury, finance, financial reporting, or banking is requiredProven ability to turn thought leadership and strategy into execution plans and resultsProficiency with Excel (VLOOKUP, Pivot Tables, Macros)Experience managing corporate credit cardsFunctional Success Drivers : These competencies are what we require for an individual to be successful in this role.
Analysis SkillsAttention to DetailCustomer FocusInterpersonal SavvyAdditional Information
All your information will be kept confidential according to EEO guidelines.
Reasonable Accommodation Statement
To perform this job successfully, the individual must be able to perform each essential duty satisfactorily. Reasonable Accommodations may be made to enable qualified individuals with disabilities.
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The Company has reviewed this job description to ensure that essential functions and basic duties have been included. It is intended to provide guidelines for job expectations and the employee's ability to perform the position described. It is not intended to be construed as an exhaustive list of all functions, responsibilities, skills and abilities. Additional functions and requirements may be assigned by supervisors as deemed appropriate. This document does not represent a contract of employment, and the Company reserves the right to change this job description and / or assign tasks for the employee to perform, as the Company may deem appropriate.
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Signode Industrial Group, LLC is an Equal Opportunity / Affirmative Action employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability or protected veteran status.