Position Summary :
The primary responsibility of the Treasury Analyst is to accurately manage the Companys daily cash movements, assist the Treasury Manager with cash flow forecasting, and identify opportunities to optimize cash utilization. This position requires a high degree of independent work while also contributing effectively as a member of the team.
Reporting relationships :
This position reports to the Assistant Director, Finance and Accounting.
Essential Job Functions :
Forecast short-term and long-term cash flows
Carry out daily payable transactions and apply receivables to accounts
Control daily cash exposure
Daily bank reconciliation in the Companys ETRM system
Prepare loan applications
Daily margin call payment and reconciliation
Month-end processing and reporting
Follow treasury procedures
Ensure the accuracy of treasury related booking and reconciliation in the ERP system
Completion of other projects and work assigned by the manager
Qualifications :
Bachelors degree in accounting or finance
Two plus years accounting or treasury experience
Experience in FX would be a plus
Experience in SAP system would be a plus
Ability to conduct necessary research, reconciliations and presentations as needed
Must be able to work with high deal of accuracy
Must be able to adhere to set deadlines
Must be very well organized and detail oriented
Must be able to work well under pressure
Must have good written and verbal communication skills and strong analytical skills
Treasury Analyst • Houston, TX, US