- Administers the Company's overall cash management and external financing function. Implements a cash flow model. Prepares short-term cash forecasts. Prepares monthly and annual forecast and coordinates the collection of data across departments within the business units.
- Works with the Treasury Manager and Chief Financial Officer to manage relationships with lenders, negotiate lines of credit, and install a system of controls to monitor compliance.
- Develops and maintains daily working relationships with banks.
- Interacts on a regular basis with all levels of management regarding credit and risk management issues.
- Reviews and submits borrowing base calculations to credit line bank and brings issues to management in a timely manner.
- Prepares and submits all debt compliance information to credit line bank.
- Tracks and prepares monthly interest on debt calculations.
- Oversees the preparation, maintenance, and reconciliation of the daily cash position, collating all bank data, analyzing transactions, and monitoring cash position.
- Maintains banking platforms, evaluating ongoing reporting/data collection requirements, and proposing technological improvements.
- Determines appropriate currency position by identifying, analyzing, and monitoring global foreign currency exposures.
- Manages the troubleshooting of issues arising from field personnel.
- Performs other duties as assigned.
Requirements
The ideal candidate will meet the following requirements:
- Bachelor's degree in Accounting, Finance, or related field required
- Five (5) or more years of relevant professional treasury experience
- Knowledge of domestic and international treasury operations and debt administration
- Knowledge of global cash management techniques and controls
- Ability to perform complex financial analyses and interpret results
- Ability to maintain relationships with third party financial institutions
- Advanced proficiency in Microsoft Office suite of products, especially Excel
- Ability to generate reports and spreadsheets in Excel, using statistical formulas
- Strong oral and written communications skills
- Ability to multitask in a fast-paced environment
- Strong analytical and problem solving ability
- Strong attention to detail
- Good people skills
- Ability to handle confidential material in a professional, highly ethical manner