Treasury Senior Analyst job at White Cap Supply Holdings, LLC in Atlanta, GA

Remote Full-time
Title: Treasury Senior Analyst Location: GA269 - Atlanta GA Job Description: Full time job requisition id WCJR-030201 A position at White Cap isn’t your ordinary job. You’ll work in an exciting and diverse environment, meet interesting people, and have a variety of career opportunities. The White Cap family is committed to Building Trust on Every Job. We do this by being deeply knowledgeable, fully capable, and always dependable, and our associates are the driving force behind this commitment. Job Summary Responsible for supporting Treasury Management with cash management, capital markets, daily oversight of corporate cash (cash position, payment processing, bank account structure (for domestic and international), oversight of Treasury related projects, review of cash management policies, maintaining financial controls for subsidiaries and growing relationships with internal/external business partners. Major Tasks, Responsibilities and Key Accountabilities Evaluates the cash flow model to find ways that increase automation, test assumptions, improve accuracy and visibility. Leads projects to drive automation and operational improvement, reducing time to deliver, while increasing accuracy. Supports key Treasury controls, including monthly calculations of debt, accrued interest, interest expense, debt accounting, credit agreement/indenture definitions and compliance calendar. Rationalizes bank account structure, integration of accounts and systems for acquisitions and enhances banking systems functionality, including Oracle treasury. Performs analyses and assists in recommendations on a variety of treasury activities including, but not limited to: internal investment activity; external investments; banking relationships and cash management. Performs financial analysis with respect to treasury management, including acting as a consultant to internal customers in evaluating and implementing treasury, merchant, financing, and investing products and services. Develops and implements procedures, internal controls and business continuity plans. Assists in the development of funding and investment strategies for corporate assets, conducts lease versus buy analyses, and monitors company’s cost of capital. Reviews, analyzes, justifies and minimizes bank and merchant fees. Serves as the primary backup for classic cash management operations, including establishing daily cash position, executing funds transfers, online administration and bank documentation. Nature and Scope Identifies key barriers/core problems and applies problem solving skills in order to deal creatively with complex situations. Troubleshoots and resolves complex problems. Makes decisions under conditions of uncertainty, sometimes with incomplete information, that produce effective end results. Independently performs assignments with instruction limited to the expected results. Determines and develops an approach to solutions. Receives technical guidance only on unusual or complex problems or issues. May oversee the completion of projects and assignments, including planning, assigning, monitoring and reviewing progress and accuracy of work, evaluating results, etc. Contributes to employees' professional development but does not have hiring or firing authority. Work Environment Located in a comfortable indoor area. Any unpleasant conditions would be infrequent and not objectionable. Most of the time is spent sitting or standing in the same location and/or there may be a need to stoop regularly or move/lift light material or equipment (typically less than 8 pounds). Typically requires overnight travel less than 10% of the time. Education and Experience Typically requires BS/BA in a related discipline. Generally 5-8 years of experience in a related field OR MS/MA and generally 3-5 years of experience in a related field. Certification is required in some areas. Preferred Qualifications Must have expert skills in credit card processing (payments), eCommerce, and everything related to how we accept payments from customers. Bank Portal experience. Cash Management experience. Must have advanced skills in Excel. Power BI (user-level skills). Ability to create PowerPoint decks. This is a hybrid position. Eligible candidates will be asked to work two days a week in our Doraville, GA Field Support Center. If you’re looking to play a role in building America, consider one of our open opportunities. We can’t wait to meet you. Apply tot his job
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