Job Description
Job Description
We are seeking a highly motivated and detail-oriented Senior Treasury Accountant to join a dynamic team in a hybrid work environment. This position will play a critical role in managing the company’s daily liquidity needs, optimizing cash flow, coordinating treasury operations, and ensuring compliance with debt agreements. The ideal candidate thrives in a fast-paced and collaborative environment, possesses strong analytical capabilities, and has a meticulous approach to financial management.
Key Responsibilities :
- Oversee day-to-day cash management activities, including cash positioning, forecasting, and wire transfers.
- Identify opportunities to optimize liquidity and cash flow across various accounts and entities.
- Ensure compliance with debt covenants, monitor financial agreements, and support reporting processes related to treasury operations.
- Evaluate banking relationships and work with financial institutions for improved services and pricing.
- Maintain and improve treasury processes, reporting tools, and technology to enhance operational efficiency.
- Support treasury analyses related to strategic initiatives, risk management, and investment opportunities.
- Bachelor’s degree in Accounting, Finance, Business Administration, or a related field from an accredited institution.
- 4–7 years of relevant experience in treasury, finance, or corporate banking.
- Certified Treasury Professional (CTP) certification preferred.
- Advanced analytical skills with strong proficiency in financial modeling and Microsoft Excel.
- Effective communicator with the ability to collaborate across various departments and levels of the organization.
- Strong organizational skills and attention to detail in managing multiple priorities.