• Ensure accurate public disclosures of all global treasury activities (e.g. preparing related 10Q/K footnotes)
• Prepare and review journal entries and account reconciliations; assist with preparing documents for audit requests
• Ensure compliance with investment policy and other treasury policies
• Maintain procedure documents current and reflective of current processes
• Best in class execution of interest and foreign exchange risk management program and strategies
• Daily forecasting and positioning for cash investment yield forecasting
• Analyze historical trends and overarching FX trading strategies across all markets through creation of models that forecast payout patterns and daily originations
• Weekly issuance of KPI and risk metric dashboards to senior management
• Ensure compliance with debt covenants and related treasury agreements
• Drive ongoing process improvements to increase efficiency and effectiveness
• Support various ad-hoc tax planning and special project work
• Other duties as assigned
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