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Skills
Accountingunmatched
Accounting Closeunmatched
Accounts Payableunmatched
Analysis Skillsunmatched
Billingunmatched
Cash Managementunmatched
Detail Orientedunmatched
ERP (Enterprise Resource Planning)unmatched
Electronic Data Interchange (EDI)unmatched
File Maintenanceunmatched
Financeunmatched
Financial Analysisunmatched
Financial Auditunmatched
Follow Throughunmatched
General Ledger Accountingunmatched
Human Resourcesunmatched
Interpersonal Skillsunmatched
Java IDE (Integrated Development Environments)unmatched
Leadershipunmatched
Legalunmatched
Marketingunmatched
Microsoft Excelunmatched
Microsoft Outlookunmatched
Oracleunmatched
Organizational Skillsunmatched
Payment Processingunmatched
Presentation/Verbal Skillsunmatched
Problem Solving Skillsunmatched
Process Improvementunmatched
Project Designunmatched
Reconciliationunmatched
SAPunmatched
System Operationsunmatched
Team Playerunmatched
Treasuryunmatched
Treasury Managementunmatched
Writing Skillsunmatched
Description
Job Description:
TTI Floor Care North America is hiring a Financial Analyst - Treasury. We are a high-growth market leader looking for energetic and curious individuals who will thrive in a fast-paced environment. We offer competitive wages and a comprehensive benefits package - tuition assistance, 401(k), medical/dental/vision coverage, vacation (Paid Time Off) and holidays. This role is based out of Anderson, SC and will report to the Treasury Manager on site.
The Financial Analyst role will perform daily tasks to support the Treasury cash management and Accounts Payable functions to ensure continuous monitoring of the group's cash position. They will be a key interface with many other business groups including Marketing, Human Resources, IT, Legal and other groups within Finance. The Analyst will participate in on-going process improvement efforts and special projects designed to enhance our capabilities.
Primary Responsibilities:
Build and maintain end-to-end processes, workflows, and capabilities with a focus on operational excellence while ensuring proper internal controls.
Support month-end cash management processes for financial closing.
Maintain wire invoice file and process for payment approval.
Maintain ACH invoice file and transmit payment files to operating bank.
Enter and process vendor invoices and process for payment approval.
Validate invoices posted through EDI process.
Prepare daily reconciliations of bank accounts (intra/previous day) and related G/L accounts.
Prepare cash reconciliations for interim and year-end financial audits.
Additional projects and duties as assigned by department management.
Requirements:
Detail-oriented with strong analytical and organizational skills and commitment to quality, accuracy, and problem-solving ability.
Organized, flexible, self-starter with ability to take leadership initiative; strong drive and follow through.
Team-oriented with ability to interact with all levels of employees in a professional and positive manner
Strong communication (verbal and written) and interpersonal skills
Must be available to work in the office full-time and beyond normal business hours, if required
Experience:
Bachelor's degree in Finance or Accounting
Work experience 2+ years preferred.
Strong proficiency with Microsoft Excel and Outlook required
Experience operating in an ERP system is preferred (SAP, Oracle, JDE, etc.)