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Part:Time Treasury Analyst | Treasury Analyst in Accounting & Finance Job in Washington DC | 71

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Part:Time Treasury Analyst

Location:
Washington, DC
Description:

Division and Unit Overview The Office of the Treasurer and CFO is responsible for treasury and financial operations, administrative and customer services, business insurance and member insurance. Specific responsibilities include but are not limited to: management of the Society's Investment Program; securing external financing for capital expansion and working capital requirements; risk management and the maintenance of the Society's business insurance program; foreign exchange risk management; budgeting and fiscal control for Washington Operations; management and operations of the ACS Washington facilities; centralized support services for all Washington staff; and directing the operations of a customer service unit responsible for consolidating service for Society programs, products and services. Governance groups supported by the Office of the Treasurer and CFO include the Special Board Committees on Audits, Pensions and Investments; the Society Committee on Budget and Finance; and the Board of Trustees, Group Insurance Plans for ACS Members. Position Summary This position assists in implementing the cash management program of the Society through short:term investment activity. The successful candidate will also contribute towards the preparation of the annual budgets of the Society's Investment Program, the ACS Member Insurance Program, the ACS Investment Pool, and the ACS Petroleum Research Fund. This position will also assist in the settlement of all foreign exchange transactions. This position also helps with the financial statements and related schedules for audits of the ACS Retirement Plan, ACS ERISA 403 (b) Plan, and the ACS Defined Contribution Retirement Plan. The position reports to the ACS Treasury Manager. Position Accountabilities :Prepare and post monthly journal entries in PeopleSoft (30).:Submit transactions within banking platforms CashPro, JPM Access, Huntington Bank, BNY Mellon NEXEN, etc. (25).:Assist with audit requests from ACS Treasury Manager (i.e. download and review SOC 1 reports and document findings, etc.) (20).:Contribute to maintaining and updating key treasury Excel workbooks which are used in ensuring bank balances are at optimal levels, calculating treasury related financial metrics such as ACS Free Cash Flow and Days of Cash on:hand, performing reconciliations, etc. (10).:Perform ad hoc analysis, research, and reporting (10).:Review and code treasury and investment related invoices in the Accounts Payable system for payment processing (5). Required Education and Skills :College degree (relevant field) required; usually has an advanced degree or equivalent experience. :Five or more years of related experience. Certified Treasury Professional designation and/or strong International Treasury experience preferred. :High computer proficiency and experience with: PeopleSoft, Excel, Word, PowerPoint, Outlook.:Well organized, detail oriented, analytical, and excellent with time/task management.:Excellent communication skills with the demeanor to collaborate and interact positively with internal and external customers. Work Schedule As a part:time employee, the candidate will be expected to work at least 20 hours and less than 40 hours per week. The work schedule is dependent on the treasury department business calendar. Additional time may be needed to support tight deadlines for month end close (first two business days per month), year:end close, and audits. Therefore, the candidate for this position will need some flexibility in their schedule. DivisionPosition Summary Work Location This position will be primarily based in the Washington D.C. office.ACS employees work a hybrid work schedule, consisting of working onsite, three days per week. ACS employees are in the office on Tuesday and Wednesday with the third in:office day scheduled in consultation with the ma
Posted:
April 9 on Tip Top Job
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