Treasury Analyst
Posted on Sep 21, 2024 by ITW
Glenview, IL
Other
Immediate Start
Annual Salary
Full-Time
Job Description
The Treasury Analyst, Americas position will support a broad scope of treasury activities with primary focus on short-term liquidity and cash management, disbursement controls, foreign exchange, and other treasury and banking services for ITW Divisions and operating units in North America. The ideal candidate will possess a strong analytical background, excellent communication skills and the drive to implement treasury solutions across operating units in a decentralized business environment.
Primary Responsibilities
Support commercial paper issuance, cash-pool operations, short-term cash investments and trade finance activities; develop a weekly commercial paper issuance and execution strategy
Provide banking solutions and advice to ITW Divisions and operating units in North America
Liaise with ITW banks’ cash operation and transaction teams
Assist with treasury-related corporate finance activities, including interest expense and income forecast, financial reporting, covenant compliance, foreign-exchange rates, bank fees
Support the team on integrating the treasury operations of acquired companies (M&A) and other special projects
Manage bank account structures, administer online bank portals and maintain key disbursement controls
Maintain internal controls and procedural documentation
The Treasury Analyst, Americas position will support a broad scope of treasury activities with primary focus on short-term liquidity and cash management, disbursement controls, foreign exchange, and other treasury and banking services for ITW Divisions and operating units in North America. The ideal candidate will possess a strong analytical background, excellent communication skills and the drive to implement treasury solutions across operating units in a decentralized business environment.
Primary Responsibilities
Support commercial paper issuance, cash-pool operations, short-term cash investments and trade finance activities; develop a weekly commercial paper issuance and execution strategy
Provide banking solutions and advice to ITW Divisions and operating units in North America
Liaise with ITW banks’ cash operation and transaction teams
Assist with treasury-related corporate finance activities, including interest expense and income forecast, financial reporting, covenant compliance, foreign-exchange rates, bank fees
Support the team on integrating the treasury operations of acquired companies (M&A) and other special projects
Manage bank account structures, administer online bank portals and maintain key disbursement controls
Maintain internal controls and procedural documentation
Reference: 202107105
https://jobs.careeraddict.com/post/95493740
Treasury Analyst
Posted on Sep 21, 2024 by ITW
Glenview, IL
Other
Immediate Start
Annual Salary
Full-Time
Job Description
The Treasury Analyst, Americas position will support a broad scope of treasury activities with primary focus on short-term liquidity and cash management, disbursement controls, foreign exchange, and other treasury and banking services for ITW Divisions and operating units in North America. The ideal candidate will possess a strong analytical background, excellent communication skills and the drive to implement treasury solutions across operating units in a decentralized business environment.
Primary Responsibilities
Support commercial paper issuance, cash-pool operations, short-term cash investments and trade finance activities; develop a weekly commercial paper issuance and execution strategy
Provide banking solutions and advice to ITW Divisions and operating units in North America
Liaise with ITW banks’ cash operation and transaction teams
Assist with treasury-related corporate finance activities, including interest expense and income forecast, financial reporting, covenant compliance, foreign-exchange rates, bank fees
Support the team on integrating the treasury operations of acquired companies (M&A) and other special projects
Manage bank account structures, administer online bank portals and maintain key disbursement controls
Maintain internal controls and procedural documentation
The Treasury Analyst, Americas position will support a broad scope of treasury activities with primary focus on short-term liquidity and cash management, disbursement controls, foreign exchange, and other treasury and banking services for ITW Divisions and operating units in North America. The ideal candidate will possess a strong analytical background, excellent communication skills and the drive to implement treasury solutions across operating units in a decentralized business environment.
Primary Responsibilities
Support commercial paper issuance, cash-pool operations, short-term cash investments and trade finance activities; develop a weekly commercial paper issuance and execution strategy
Provide banking solutions and advice to ITW Divisions and operating units in North America
Liaise with ITW banks’ cash operation and transaction teams
Assist with treasury-related corporate finance activities, including interest expense and income forecast, financial reporting, covenant compliance, foreign-exchange rates, bank fees
Support the team on integrating the treasury operations of acquired companies (M&A) and other special projects
Manage bank account structures, administer online bank portals and maintain key disbursement controls
Maintain internal controls and procedural documentation
Reference: 202107105
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