| Location: |
VA-Richmond
Mid-Atlantic (DE, DC, MD, NJ, NY, PA, VA & WV) |
| Salary Range: |
60000 - 80000 |
| Bonus & Incentives: |
bonus eligible |
| Position Responsibilities: |
• Assist with cash flow modeling for both North America and International (processing with new Cash Flow Model)
• Assist with system evaluation and implementation (i.e. ICMS, MMK portals)
• Partner with operating units to identify improvement opportunities and provide recommendations (i.e. Remote Deposit Capture, payment options, collections alternatives)
• Assist with acquisition implementation and bank transactions
• Serve as backup for daily activities (North America cash, International cash, North America trades, International trades, Short Term Investments)
• Ad hoc analysis to include cost benefit analysis and scenario generation
• Support monthly/quarterly closing
• Ad hoc reporting for Corporate and Operating Units
• Special projects as identified
|
| Education and Certifications/Licenses: |
Bachelors |
| Mandatory Minimum Qualifications: |
Skills Required:
• Demonstrated analytical and decision making skills
• Solid understanding financial analysis and scenario modeling
• Excellent verbal and written communication skills
• Strong PC skills (particularly Excel)
• Project management skills
• Strong attention to detail
• Ability to accumulate, manipulate, and interpret data for reporting purposes
•
Qualifications:
• Bachelor's degree in finance (preferred) or related field
• 5 years of relevant experience (financial analysis and treasury preferred)
|
| Preferred Qualifications: |
|
| Additional Comments: |
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| Benefits: |
|
| Overnight Travel: |
None Listed |
| Relocation Assistance: |
No |
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