Analyst III Treasury Ops

The Giant Company

$75K — $112K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 4-5 years of relevant experience in finance or accounting roles.
  • Bachelor's Degree in Accounting, Finance, or equivalent experience.
  • Strong verbal and written communication skills for engaging stakeholders effectively.
  • Ability to manage multiple projects and prioritize tasks efficiently.
  • Demonstrated customer-centric approach in professional interactions.
  • Strong analytical skills with a focus on accuracy and detail.
  • Proficiency in Microsoft Excel, including advanced features.

Responsibilities

  • Research and analyze financial data to support decision-making and resolve discrepancies.
  • Calculate accruals based on historical and projected data to report cash and payment exceptions.
  • Lead period-end closing activities including reconciliations and journal entries.
  • Identify financial variances and advise management on accounting issues arising from reconciliations.
  • Compile accurate reports for periods, quarters, and annually, ensuring financial statement integrity.
  • Serve as a technical resource during audit processes for both internal and external audits.
  • Collaborate with various business partners to address complex financial issues.

Benefits

  • Hybrid work schedule with 3 in-person days and 2 remote days per week.
  • Opportunities to work in core locations for enhanced collaboration.
  • Potential for professional development and special projects within the department.
Full Job Description
Primary Purpose:

The overall objective of this role is to drive financial performance by providing research, analytics, and recommendations on complex business modeling, non-standard reporting, and impacts of changing accounting principles to leadership. This position requires vast expertise in cash management principles, such as accounting analysis & reporting, accounting controls & audit and payment process governance.

Our hybrid work schedule includes 3 in-person days at one of our core locations and 2 remote days. Our core office locations include Carlisle, PA & Salisbury, NC.

Applicants must be currently authorized to work in the United States on a full-time basis.

Duties and Responsibilities:
  • Research, analyze, reconcile, audit and summarize financial data for use by management in making finance decisions and resolve accounting discrepancies.
  • Report Cash and Payment exceptions that occur within the organization, calculate accruals using business knowledge and extrapolations of historical data or future projections based on probability.
  • Leads period close activities such as reconciliations and journal entries for assigned discipline maintaining current knowledge of specialize accounting and/or current tax laws and governmental regulations.
  • Identifies and assesses financial variances based on knowledge and expertise providing insight and advice for senior management and other end users regarding accounting issues that arise from reconciliation or reported financial results.
  • Compiles accurate period, quarterly, and annual reports ensuring accuracy of financial statements, and completes requests for non-standard reports.
  • Serves as a technical resource during internal and external audit processes.
  • Interactions both internal and external to the company at all levels and pertain to project / functional activities. Independently gains cooperation and commitment through personal persuasiveness.
  • Partner with product and service suppliers, Retail Services, Banking, Information Technology, and all other business partners to identify and solve complex business issues
  • Answer Profit & Loss and Balance Sheet questions for assigned accounts and ensure completion of period-end checklist to ensure accurate reporting of income and receivables in the company's financial statements
  • Responsible for ensuring the accounting transactions required to adequately report and manage GL and Bank related accounts in a timely and accurate manner, performing account analysis, and reconciliations of general ledger accounts.
  • Primary point of contact for 3rd party vendor relations for outsourced functions and drives and leads special projects for the department.
  • Additional job duties may be assigned as needed to meet the needs of the business and support our Values.


Qualifications:
  • 4-5 years of mostly relevant experience
  • Bachelor's Degree or equivalent experience
  • Strong written and verbal communication skills
  • Ability to communicate to all levels of management and outside vendors
  • Ability to multitask several projects
  • Strong organizational skills
  • Customer-centric
  • Strong Analytical skills
  • Microsoft Excel
  • Attention to detail


Preferred Qualifications:
  • General Accounting knowledge required
  • Strong knowledge of Microsoft Suite; advanced knowledge of Microsoft Excel
  • SAP S4/Hanna


IL/MA/MD/NY Salary Range: $75,040 - $112,560

Actual compensation offered to a candidate may vary based on their unique qualifications and experience, internal equity, and market conditions. Final compensation decisions will be made in accordance with company policies and applicable laws.

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