Spire Inc

Treasury Analyst III

Spire Inc$75K — $95K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in accounting, business, finance, or management required (MBA preferred).
  • 6-8 years of progressive finance experience, with 3-4 years focused on treasury functions.
  • Strong knowledge of cash management, banking operations, and cash flow forecasting.
  • Proficiency in Microsoft Office Suite, particularly advanced Excel skills.
  • Experience with Treasury Management Systems, specifically Ripple Treasury (formerly GTreasury) is required.

Responsibilities

  • Manage and execute treasury functions including bank and cash management operations.
  • Perform banking activities such as payment processing and account monitoring.
  • Monitor banking relationships and overall liquidity management.
  • Review monthly cash flows and report findings to management.
  • Manage inter-company lending agreements and settle accounts payable/receivable.
  • Develop and implement cash management strategies to optimize liquidity.
  • Assist in regulatory compliance and adhere to treasury policies.

Benefits

  • Opportunity to work on diverse financial projects and increase efficiency through automation.
  • Collaborative team environment with focus on problem-solving and initiative.
  • Potential for professional growth with emphasis on developing treasury management capabilities.
Full Job Description
Summary

Spire is seeking a Sr. Treasury Analyst III, responsible for the day-to-day liquidity and operational aspects of the company in St. Louis, MO. This position will focus on managing the process of the organization's cash management, collateral management, funding and liquidity, investment analysis and management, and other financial affairs. The role also executes treasury functions including bank management, cash management, debt management, cash and treasury operations, and reconciles all treasury activities. The Sr. Analyst also performs, records and reconciles all short-term borrowing and investing when needed for the whole company and ensures and supports in meeting overall treasury department's strategy policies and regulatory requirements. This individual contributor role will also manage and get involved in various projects supporting the business, automating processes, streamlining procedures where possible, and further development and supervision of our Treasury Management System (Ripple Treasury, formerly GTreasury).

Duties and Responsibilities

  • Managing and execute treasury functions including bank management, cash management, cash and treasury operations and oversees daily management of Spire's cash positioning and short-term debt (internal and external).
  • Perform recurring banking activities including payments, security administration of user profiles in banking portals and treasury systems, monitoring of open bank accounts, opening and closing bank accounts as necessary, positive pay review and approval, and cash sweeps.
  • Monitor and assist in managing banking relationships and liquidity management.
  • Review monthly cash flows, interest expense and other cash management activities, and report results to higher management.
  • Manage inter-company lending agreements and settle inter-company accounts payable/receivable.
  • Monitor investment of excess funds and recommend investment to Treasury leadership.
  • Assist in meeting overall treasury department's policies and regulatory requirements including:
    • Performing monthly, quarterly and annual debt compliance activities, including the review of accounting records to ensure compliance with debt agreement, calculation of quarterly and annual covenant calculations.
    • Ensure timely delivery of all required reports to lenders.
  • Support the needs of other departments, such as Supply Chain, HR, Financial Reporting, Tax, Customer Experience.
  • Manage and negotiate all bank and other financial institutions fees and charges.
  • Monitor, develop, improve and maintain short-term and medium-term cash flow forecasts to determine near-term and medium-term funding requirements, and plan for longer-term needs; contribute to company-wide forecasts to present to Treasury and Finance leadership.
  • Develop, propose and implement cash management operational strategies.
  • Perform with minimal supervision and ensure proper controls are in place for regulatory requirements, such as FBAR, SOX, FAFCA and Dodd- Frank.
  • Oversee all front and back-office support for Treasury Management System (transactions, in-house banking, liquidity management, short-term debt and investments).
  • Assist with reporting for the board and external financial institutions.
    • Prepare all Treasury related 10Q and 10K related reporting
    • Provide analysis for the reporting to S&P and Moddy's Credit Rating Agencies
  • Increase efficiency in all activities through automation when possible.
  • Perform financial forecasting/ budgeting and operating metrics tracking.


  • Manage the creation of ad-hoc financial models for decision support
  • Review and evaluate financial performance in preparation for monthly leadership business reviews, and recommend actions for optimization.
  • Responsible for the execution and monitoring of critical financial areas of treasury, capital, credit card merchant processors, and recurring banking activity with a focus on compliance, communication, analysis, and cash flow management.
  • Other project management as assigned.


Essential Characteristics

  • Strong Ethics and Integrity, customer focus, results-driven, teamwork, communications, adaptability, quality, initiative, problem solving and analysis.


Required Education (certifications, licenses)

  • Bachelor's degree in accounting, business, finance or management required (MBA/Higher degree preferred)


Required knowledge, skill and abilities

  • Strong knowledge of cash management, banking operations, and cash flow forecasting.
  • Experience managing and maintaining banking relationships.
  • Proficiency in Microsoft Office Suite, with advanced Excel skills.
  • Working knowledge of treasury and financial management software applications.
  • Experience with Enterprise Resource Planning (ERP) systems.
  • Ripple Treasury Management System (formerly GTreasury) experience rquired.
  • 6-8 years of progressive finance experience, including 3-4 years focused on treasury functions.
  • Strong financial analysis, forecasting, and quantitative problem-solving skills.
  • Excellent interpersonal, organizational, and project management abilities.
  • Ability to collaborate effectively in a team-oriented environment.
  • Strong verbal and written communication skills with the ability to present financial information clearly to various stakeholders.


Physical demands, environment and schedule

Posting Requirements

Spire accepts online applications through our career site at jobs.spireenergy.com

Posting requirements: The above posting description is intended to describe the general nature of the level of work being performed by people assigned to this classification. They are not intended to be construed as an exhaustive list of all responsibilities, duties and skills required of personnel so classified. To perform this job successfully, an individual must be able to perform each duty and responsibility satisfactorily. The requirements listed above are representative of the knowledge, skill, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

Job Req ID: 11712

About Spire Inc

Spire Inc is a public utility holding company based in St. Louis, Missouri, providing natural gas service through its regulated core utility operations while engaging in non-regulated activities that provide business opportunities. The company was founded in 1857 as the Laclede Gas Light Company and changed its name to Spire Inc in 2016. Spire serves over 1.7 million customers in Alabama, Mississippi, Missouri, and Texas. The company has a diversified portfolio of natural gas-related businesses, including Spire Marketing, Spire STL Pipeline, and Spire Storage. Spire is committed to providing safe, reliable, and affordable natural gas service to its customers while also investing in renewable natural gas and other sustainable energy solutions.
Learn more about Spire Inc
Size
3,710 employees
Market Cap
$3.8 billion
Industry
Net Income
$110.5 million
Founded
1857
5 Year Trend
-1.3%
Revenue
$1.8 billion
NASDAQ

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