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Corporate Treasury Analyst

Location:

NY - Valhalla

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General Description:  The Treasury Analyst is responsible for performing various cash, disbursement, and cash accounting activities within the Corporate Treasury function.

Responsibilities:

  • Assist Sr. Treasury Analyst with distribution of weekly IHB statements to NAC/regions/acquisition offices.
  • Review cash transactions from daily bank reports; work with Bank of America to obtain details for miscellaneous adjustments and notify accounting center/regional personnel of same.
  • Monitor returned check and ACH notifications from Bank of America and notify appropriate accounting center/regional personnel of same.
  • Run daily afternoon cash positioning and notify Sr. Treasury Analyst or Corporate Treasury Manager of results for liquidity management purposes.
  • Consolidate and maintain daily cash management support packages; ensure completeness for audit purposes.
  • Maintain monthly bank balances file and download supporting statements for distribution to Controller’s team.
  • Generate monthly IHB reconciliation and identify any variances.
  • Generate and distribution monthly Concur payables funding report for confirmation by field personnel.
  • Generate monthly positive pay exception report.
  • Process non-cash transactions in TMS for payroll and benefits funding and miscellaneous corrections for regions.
  • Process manual check issuances, stop payments and cancellations in online banking system.
  • Generate and distribute in-house bank statements for acquisition-related Corporate accounts; provide support for Corporate deposits, journal entries and Treasury-initiated payments.
  • Assist Sr. Treasury Analyst with initiation of electronic payments for review and approval by Corporate Treasury Manager/Director of Treasury.
  • Monitor co-invest receipts, obtain details from USI Equity and prepare journal entries.
  • Generate daily paid check file and review for mis-posted checks.
  • Maintain online banking audit logs.
  • Process corporate check deposits and maintain supporting documents; maintain log for non-corporate checks received in Valhalla and Fed Ex to accounting center/regions.
  • Respond to requests from field and external business partners for transaction research.
  • Open department mail and route as required.
  • Ongoing support and special projects as required.

 

Knowledge, Skills and Abilities:

·         Bachelor’s Degree in Accounting or Finance preferred or equivalent combination of education and experience.  

·         5+ years experience

·         Experience with treasury management and online banking systems

·         Expert knowledge of Microsoft Office Suite including Excel;

  • Highly motivated, strong attention to detail and superior work ethic.
  • Ability to interact with all levels within the organization.
  • Excellent communication and organizational skills.
  • Strong interpersonal skills as well

$70,000- $75,000

Job ID:

28126

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