Our Client in Itasca, Illinois (IL) is looking for a Treasury Manager:
Responsibilities for this role include; analyzing and overseeing global treasury operations and internal controls. Work with divisions for Foreign Exchange (FX). Identify FX exposures, shipping procedures, and determine the necessity to hedge. Work with different currencies; buying and selling in 10+ countries. Borrowing activities; debt covenant compliance and letter of credit issuance. Assist with short and long-term investing activities. Maintain overseas cash pooling structure. Manage global banking infrastructure, including relationships with banks and 3rd party providers. Cash management operations; cash reporting, cash forecasting, wire payments, and fraud protection. Bachelor’s degree in finance or accounting, CTP, and 8+ years’ treasury related experience (FX, treasury, or cash management) is required. MBA is a plus. Must have Foreign Exchange experience. Manufacturing, distribution, or supply chain experience is ideal. Advanced MS Excel (V-lookups, pivot tables, macros) and treasury workstation software experience is required; Kyriba is a plus.
Casey Accounting & Finance Resources specializes in the placement of Accounting, Finance, Credit and Payroll professionals for direct placement, temporary services and Accounting and Finance consulting. Since 1975, Casey Accounting & Finance Resources has successfully partnered with companies of all sizes from start-up to Fortune 100. With our specialization of filling Accounting Jobs in Chicago IL and Finance Jobs in Chicago IL, the Casey team has established relationships with the highest caliber of professionals in the field. To apply to this position, please email your resume to email@example.com and include Job # and Position Title in subject line, or click link below.
|Job Category||Direct hire positions|