财务经理
Manager - Treasury
职能支持限定地区(需当地身份)
公司Argano
薪资未公开
工作地点United States
地域资格限定地区(需当地身份)
时区要求日间重叠约 9 小时,基本正常作息
用工类型Full Time
发布时间今天
数据来源Himalayas
注意地域限制:该职位明确限定在 United States 招聘。如果你是位于中国大陆的求职者,通常需要当地工作身份才能投递,或需与雇主确认是否接受独立合同(Contractor)形式合作。
概述
我们正在寻找一位实战型的财务总监,负责管理并优化公司的日常现金流,降低财务风险,并参与战略财务决策。这是一个需要亲力亲为的职位,将直接管理3名以上下属,并向公司财务主管汇报。
主要职责
- 监督日常现金流管理,管理短期流动性,确保组织满足运营需求。这包括管理日常现金交易、资金集中以及确保高效的现金使用。
- 管理银行账户(开户、销户、维护、用户设置和权限配置),管理银行平台,执行电汇和其他支付,并帮助维护与银行合作伙伴的良好关系。
- 负责确保所有美国供应商的付款及时准确,并在总账中记录。
- 财务总监团队负责将多个法律实体在多个国家的现金交易及时录入总账。
- 推动短期和中期现金流预测流程,从各个子公司收集数据,提供整合的公司整体现金流预测。
- 管理新收购公司和海外子公司的财务职能进一步整合。
- 领导、指导和为财务团队提供支持,培养责任意识和持续改进的文化,同时确保高质量的工作和职业发展。
- 识别改进财务流程和程序的机会。
- 参与并领导特殊项目和临时财务分析,根据要求进行。
任职要求
- 财务、会计或相关领域的学士学位。
- 至少7-8年现金管理、财务、银行或相关财务分析工作的逐步晋升经验,其中包括2-3年的领导或监督岗位经验。
- 有在跨国组织和多种货币环境中工作的经验。
- 精通大型ERP系统;有Microsoft Dynamics 365经验者优先。
- 强大的计算机技能,包括高级的Microsoft Excel技能。
- 强大的分析和解决问题的能力,注重持续改进。
- 出色的书面和口头沟通能力,能够有效与各层级的利益相关者合作。
- 高度有条理且注重细节,能够独立工作,接受最少的监督。
查看英文原文
Overview
We are seeking a hands-on Manager of Treasury responsible for managing and optimizing the company's daily cash position, mitigating financial risks, and contributing to strategic financial decisions. This is a hands-on role that will oversee 3+ direct reports, and reports to the Corporate Controller.
Key Responsibilities
- Oversee daily cash positioning and manage short-term liquidity to ensure the organization meets its operational needs. This includes managing daily cash transactions, concentrating funds, and ensuring efficient cash utilization.
- Administer bank accounts (opening, closing, maintenance, user set up and entitlements), manage banking platforms, execute wire transfers and other payments, and help maintain strong relationships with banking partners.
- Responsible for ensuring all U.S. vendor disbursements are timely and accurately paid and recorded in GL.
- Treasury team is responsible for recording all cash transactions for multiple legal entities in multiple countries into the general ledger on a timely basis.
- Drive the short- and medium-term cash flow forecasting process, collecting data from various subsidiaries to provide consolidated company-wide cash projections
- Manage further consolidation of the Treasury function amongst newly acquired companies and foreign subsidiaries
- Lead, mentor, and provide guidance to the treasury team, fostering a culture of accountability and continuous improvement while ensuring high-quality work and professional development.
- Identify opportunities to improve treasury processes and procedures
- Participate in and lead special projects and ad-hoc financial analysis as requested.
Qualifications
- Bachelor’s degree in Finance, Accounting, or related field.
- Minimum of 7-8 years of progressive experience in cash management, treasury, banking or related financial analysis roles, including 2-3 years in a leadership or supervisory role
- Experience working with multinational organizations and various currencies
- Proficiency with large ERP systems is essential; experience with Microsoft Dynamics 365 a plus.
- Strong computer skills including advanced Microsoft Excel skills.
- Strong analytical and problem-solving skills as well as a focus on continuous improvement.
- Excellent written and verbal communication skills to effectively collaborate with stakeholders at all levels
- Highly organized and detail-oriented with the ability to work independently with minimal supervision.
- Able to efficiently manage workload and thrive in a fast-paced environment
Originally posted on Himalayas
本页面信息整理自 Himalayas,版权归原发布方所有。职位可能随时关闭,投递请以原始页面为准。
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