What are the responsibilities and job description for the Corporate Treasury - Analyst or Senior level position at Origin Staffing?
We are searching for an experienced Corporate Treasury professional at either Analyst or Senior Senior Analyst leve l with banking and cash management experience to contribute toward a global treasury function.
Company, Position & Team Highlights :
- Growing company, very profitable and expanding through acquisitions
- Great company culture with track-record of internal promotions
- Strong Benefits – many attractive healthcare plans, 401k match, generous tuition reimbursement, wellness plans, large PTO allotment, maternity / paternity leave plans & more
- Responsibilities include – cash management, liquidity analysis, cash forecasting, bank relationship management and reporting, interest rate and counter-party exposure analysis projects, account reconciliations and journal entries to support corporate accounting & finance teams, assisting with management of corporate purchase card program, treasury management / FX system projects.
- Awesome mentors above (Treasury Manager & Global Controller)
- Great location – accessible by public transportation & parking on site
- Strong Compensation Package (Competitive Base, Annual Bonus, Company Retirement Contribution)
- Company is very encouraging of movement between groups (Accounting, Financial Reporting, Finance, Asset Management, Financial Systems, Global Risk, Operations, Revenue / Global Treasury) – this helps them build leaders that understand the business structure inside and out. (plus, employees never get bored and it’s a great retention strategy)
- Company is active with acquisitions, which creates interesting “treasury integration” projects
- The company’s schedule is 3 / 2 hybrid (3 days in office, 2 days work from home - this is set in stone across the organization now, w / o any exceptions.
Qualifications :