Robert Half is working with an International company looking to add a Director of Treasury to the team. This is 100% in office, located in Delray Beach, FL. MUST have International Banking and Foreign Exchange exp to be considered.
Please send your resume to for consideration.
Cash Management:
o Execute, manage, and improve establish cash forecasting process
o Identify cash needs, coordinate, and manage borrowing/repayments with
Lenders to minimize interest expense while ensuring proper liquidity
o Coordinate with Trade Finance to drive working capital efficiency and cash flow
generation
o Contribute to the global cash management strategy development and
improvement
o Assist Operations and Commercial teams in developing collection strategies
and workout solutions with customers
o Actively engage with Trade Finance and commercial teams on the review,
design, and execution of appropriate trade finance solutions
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o Manage the customer credit insurance policy; participate in the annual policy
design and renewal process.
o Manage, monitor and report on FX hedging activity
Bank Account Management:
o Ensure appropriate maintenance and oversight of company's global bank accounts
and Treasury systems
o Manage the opening of new bank accounts and related KYC requirements, as
needed
o Monitor and report on global bank accounts
o Optimize global cash balances across all geographies. Move cash as needed
to provide adequate liquidity
o Evaluate and make recommendations for new banking products and services,
and implement as appropriate
• Covenant Management:
o Understand thoroughly the covenants that govern the Company’s credit
facilities
o Work closely with Controller and CFO to forecast and manage covenant
performance to ensure quarterly compliance
• Financial/KYC Compliance:
o Coordinate and deliver Financial/KYC information with Trade Suppliers to
secure and maintain advantageous credit and payment terms
o Manage and execute annual Financial/KYC updates for lenders, state and
federal registrations, hedging re-certifications, facilities leases/lease renewals
and other financial compliance activities, as needed
• Process daily funding requests using a variety of payment methods including ACH, wires, checks, and direct cash
disbursement platforms. Ensure these transactions are accurately reflected in the Company’s general ledger system
(Sage Intacct).
• Ensure compliance with financial controls and documentation standards for each transaction
• Maintain a record of processed money transfers transactions to ensure accuracy and assist with reconciliations
• Identify and resolve any discrepancies or exceptions in funding disbursements
• Assist in the development and updating of internal policies and guidelines for funding activities to enhance operational
efficiency and compliance.
• Work in conjunction with other members of the Treasury and Funding Departments to process funding requests
efficiently via automated CRM and General Ledger platforms
• Assist the Accounts Payable department as required
• Conduct other adhoc projects and provide additional support as required by the Controller
Qualifications
• Bachelor's degree in accounting or Business, preferred
• Strong time management and prioritization skills
• Ability to operate efficiently in a fast-paced, high-volume environment
• Ability to effectively manage a work queue
• Ability to quickly learn new software programs required
• Proficiency in Excel (Pivot Tables, VLOOKUP)
• Experience with Sage Intacct is a plus
Send your resume confidentially to .