The Treasury Coordinator is responsible for accurate and timely completion of day to day treasury activities including processing both cash receipt and payments globally, reconciling bank accounts and ensuring Treasury activities are in compliance with corporate policies and procedures.
Prepares and creates journal entries as necessary
Prepares bank reconciliations and supporting schedules
Plays a key role in the monthly, quarterly and annual financial closing procedures
Prepares accurate, reliable and timely financial reports
Analyzes variances in income statement and balance sheet accounts
Assists with assessment and implementation of internal controls, including risk identification and prevention
Prepares and submits sales tax payments for assigned territory
Handles special assignments and responsibilities as requested by the supervisor including, but not limited to, ad hoc financial analysis
Provides assistance to internal and external audit functions including preparation of audit schedules
Knowledge of economic and accounting principles and practices, banking, and the analysis of financial data
Great Plains software experience a plus.
Strong Microsoft Excel skills
Advanced math skills; ability to calculate figures, amounts, and percentages, and apply concepts of mathematics relating to financial calculations
Must have initiative and ability to work independently and collaboratively
Ability to maintain highly confidential information
Strong interpersonal skills to interface with all disciplines and levels
Resourceful with exceptional problem solving and decision-making skills, ability to troubleshoot with keen attention to detail
Able to multitask, prioritize, and manage time efficiently
Ability to work well under pressure in a fast-paced environment with multiple competing demands with a strong sense of urgency
Benefits
Competitive Pay
Health Care Benefits
Paid Time Off
401k with Company match and much more!
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