Treasury Analyst Job at Sunrise Systems, Inc., Waltham, MA

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  • Sunrise Systems, Inc.
  • Waltham, MA

Job Description

Job Title: Treasury Analyst

Location: 48 Woerd Avenue Suite 105, Waltham, MA 02453 United States

Duration: 12 MONTHS (POSSIBLE EXTENSION OR CONVERSION)

Position Type: Hourly contract Position (W2 only)

Responsibilities:

  • This new position, based in Massachusetts, is part of the Global Treasury team. Reporting to the Senior Treasury Manager in the United States, the incumbent will be responsible for hands-on treasury & cash management for the North America entities.
  • In addition to his/her operational responsibilities, the incumbent will play a key role in various strategic projects led by the Global Treasury team, aimed at optimizing and transforming management processes and practices.
  • Due to the responsibilities of the position and the composition of the global team, this position will require presence at our office on-site in Boston on a regular basis (not on full remote) as well as some participation in after-hours meetings with international colleagues.

Main functions and responsibilities

Cash management

  • Hands-on daily cash management operations for North America entities
  • Regular cash flow forecasting process for US and Canada, aiming for high forecast quality in both the short and medium term while achieving forecast-vs actuals gap performance indicators
  • Manage intercompany loans, adequate liquidity across entities and bank accounts, any other methods of financing/centralizing activity for North America
  • Act as a Treasury point of contact for internal teams and external partners
  • Banking relationships
  • Ensure all the bank documentation and online bank user setup, signatories are duly updated
  • Manage and support the onboarding process for the company's new banking partners and ongoing management of existing bank accounts and partners
  • Reporting and analysis
  • Regular and ad hoc reporting and analysis for treasury management and evaluation of treasury management performance

Qualifications:

Experience/ Education

  • Bachelor's in Accounting, Finance, Business Administration, or equivalent work experience
  • ~3 years' experience in treasury management / cash management in multinational corporate
  • Certificate in the field of treasury or finance (CTP, ACT, CFA or CPA) is a plus

Key Skills / Core Competencies

  • Hands-on experiences and in-depth knowledge about treasury and cash
  • management (both from North America, as well as from a global treasury / cash management perspective)
  • Well balanced between business sense and treasury functional knowledge
  • Strong analytical skills

Personal Attributes

  • Attention to detail
  • Proactive and sense of initiative
  • Collaboration and team spirit
  • Active participation in a global team
  • Ability to manage multiple priorities

Job Tags

Hourly pay, Contract work, Temporary work, Work experience placement, Work at office,

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