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Senior Treasury Analyst - GSC – US

Sysco
Posted a day ago, valid for a year
Location

Houston, TX 77203, US

Salary

$49.48 - $59.38 per hour

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Contract type

Full Time

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Sonic Summary

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  • The position involves managing cash administration activities to mitigate risks related to credit, interest, and foreign exchange.
  • Responsibilities include cash flow monitoring, hedging against various risks, and maintaining stakeholder relations for external funding.
  • Candidates must possess a Bachelor's degree in accounting, business, management, or finance, along with 5-10 years of finance or accounting experience, particularly in Treasury.
  • The role requires advanced knowledge of In-House Banking, treasury technology, and familiarity with international banking processes and regulations.
  • Salary details are not specified, but candidates with relevant experience and skills will be considered for competitive compensation.

Responsible for cash administration activities to minimize the organization's exposure to credit, interest, and foreign exchange risk. Responsibilities • Cash flow monitoring and reporting • Hedging for interest rate, currency, and commodity risk, determining counterparty risk, etc. • Corporate finance structure and funding (e.g., funding sources and instruments, capital structure, dividend program, investment appraisal, portfolio management, etc.) • Stakeholder relations related to external funding

 

RESPONSIBILITIES

 

·        Conducts cost-benefit and financial analysis on cash management products, services, and initiatives.

·        Designs and maintains financial models.

·        Prepares monthly reports on allocation of financial services across financial institutions.

·        Administers the credit card program by setting up new merchants IDs and users of the credit card web portals, and making bank account changes.

·        Prepares intercompany interest and IHB (In-House Bank) reports for international entities.

·        Tracks, maintains and initiates letters of credit and requests for fee payments.

·        Prepares letters and supporting documentation for bank service updates.

·        Compile, verify, and analyze cash forecast information to prepare accurate daily, weekly, and monthly updates.

·        Handle concurrent projects related to risk mitigation, cost savings, vendor services, and time efficiencies.

·        Back up the Cash Analysts, and Senior Analysts as needed.

·        Other projects as requested.

 

KEY ATTRIBUTES

 

·        Organized and detail-oriented

·        Analytical skills, financial, technological acumen

·        Intellectual curiosity

·        Collaborative mindset and enterprise-view

·        Excellent verbal and written communication

 

EXPERIENCE

 

·        Bachelor’s degree in accounting, business, management, or finance required

·        Technology experience is a plus.

·        5 - 10 years in finance or accounting with Treasury experience

·        Treasury workstation and bank software experience.  Kyriba is a plus.

·        Advance knowledge of In-House Banking

·        Project Management

·        Knowledge of key accounting and financial software programs, ERP's, cash management products and treasury technology.

·        Experience with international banking processes and regulations

·        Python, R, building dashboards, or other technical requirements specified are nice to have.

PHYSICAL DEMANDS:

Reasonable accommodations will be made to enable individuals with disabilities to perform the essential functions of this job.




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By applying, a SYSCO account will be created for you. SYSCO's Privacy Policy will apply.