Treasury Specialist Associate - Veracity Software Inc
Folsom, NJ 08037
About the Job
Treasury Specialist Associate
Folsom, NJ, United States, 08037 (Hybrid position)
02 Months
Shift timings: Monday to Friday, 9am to 5pm
Summary:
The Treasury Specialist Associate will support the Treasury department by managing daily cash operations and financial transactions for SJI and its subsidiaries. The position involves analyzing financial data, forecasting cash flows, ensuring accurate billing and reconciliation, and collaborating with banking partners to resolve issues. This is a temporary role with a focus on maintaining smooth and effective cash management practices within the organization.
Responsibilities:
Bachelor's degree in finance or accounting or equivalent work experience.
One to three years of professional work experience in the following area: corporate cash management and treasury services.
Proficiency with PC-based applications.
Ability to thrive in a fast-paced, deadline-driven environment.
Requirements:
1. Evaluates and determines the daily cash management needs for SJI and its subsidiaries.
2. Analyzes financial information to project near-term cash flows and short-term borrowing requirements.
3. Reconciles monthly bank service charge billings and interest charges and prepares memo bills for the proper recording and payment of these charges for SJI and its subsidiaries.
4. Verifies monthly records of borrowing and investments with banks.
5. Contacts bank representatives to resolve any issues/problems that arise regarding payments, interest rates, establishment of accounts, bank charges, etc.
6. Perform other cash management related tasks as need.
Skills:
Cash management
Treasury services
Folsom, NJ, United States, 08037 (Hybrid position)
02 Months
Shift timings: Monday to Friday, 9am to 5pm
Summary:
The Treasury Specialist Associate will support the Treasury department by managing daily cash operations and financial transactions for SJI and its subsidiaries. The position involves analyzing financial data, forecasting cash flows, ensuring accurate billing and reconciliation, and collaborating with banking partners to resolve issues. This is a temporary role with a focus on maintaining smooth and effective cash management practices within the organization.
Responsibilities:
Bachelor's degree in finance or accounting or equivalent work experience.
One to three years of professional work experience in the following area: corporate cash management and treasury services.
Proficiency with PC-based applications.
Ability to thrive in a fast-paced, deadline-driven environment.
Requirements:
1. Evaluates and determines the daily cash management needs for SJI and its subsidiaries.
2. Analyzes financial information to project near-term cash flows and short-term borrowing requirements.
3. Reconciles monthly bank service charge billings and interest charges and prepares memo bills for the proper recording and payment of these charges for SJI and its subsidiaries.
4. Verifies monthly records of borrowing and investments with banks.
5. Contacts bank representatives to resolve any issues/problems that arise regarding payments, interest rates, establishment of accounts, bank charges, etc.
6. Perform other cash management related tasks as need.
Skills:
Cash management
Treasury services
Source : Veracity Software Inc