Treasury Supervisor
at Peterson Cat
San Leandro, CA 94577, USA -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 28 Apr, 2025 | Not Specified | 28 Jan, 2025 | N/A | Veterans,Treasury Services,Addition,Decision Making,Affirmative Action,Data Science,Debt Management,Financial Planning,Sql,Finance,Data Models,Economics,Cash Flow Forecasting,Disabilities,Cash Management | No | No |
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Description:
IT’S YOUR TIME, MAKE IT MATTER.
At Peterson, we partner with our customers to build the future. For over 85 years, our peoples’ work has shaped the communities where we live, where we raise our families, and where we thrive. Peterson’s legacy permeates every aspect of our communities. From roads and bridges, back-up power at hospitals, fire-fighting, concerts and moving goods; we are everywhere you look. At Peterson, you don’t just have a career, you have a purpose.
Our family-oriented environment is built on safety, winning, growth, and professional achievement. Hiring and developing exceptional people is critical to our continued success. We have high standards for a good reason: our people represent Peterson, our family, our brand, and our values.
You have high expectations too. You are exceptionally motivated, have outstanding skills, and want your work to matter. Peterson offers competitive wages, generous benefits, and promotional opportunities at a family-owned and operated business. It’s time to use your skills and passion to do work that matters!
SUMMARY
The Treasury Supervisor oversees all aspects of daily treasury operations to meet the financial obligations of the organization. This position is responsible for cash reporting and forecasting, credit administration, monitoring lender compliance requirements, and debt facility modeling. Additional responsibilities include assisting with underwriting and placing lines of credit, researching economic trends and investment opportunities, determining procurement of funds, monitoring investments and collections, performing credit underwriting, and performing treasury-related accounting tasks.
QUALIFICATIONS
Bachelor’s Degree from a fully accredited college in Finance, Accounting, Economics, Data Science, or other related field; and a minimum of five (5) years of directly related experience in treasury services, or an equivalent combination of education and work experience.
- Experience managing day-to-day treasury functions required
- Experience utilizing data for decision-making required
- Experience with process improvement and change management required
- Experience in financial planning preferred
- Supervisory experience highly preferred
- Must display ability to build and analyze financial and treasury data models to support cash flow forecasting, debt management, and strategic decision-making.
- Must display strong understanding of treasury processes, including cash management, capital structure planning, and debt modeling.
- Must display interest in performing financial planning functions
- Knowledge of SQL or other database query languages is preferred.
- Certified Treasury Professional (CTP) preferred
- Certified Professional Accountant (CTA) preferred
The annual pay range for this position is: $110,000 - $130,000. We also offer a total compensation package in addition to base salary.
Peterson Holding Company is committed to equal employment opportunity and affirmative action. Minorities, females, veterans, and individuals with disabilities are encouraged to apply. A drug screen and background check is required
Responsibilities:
- Oversee all aspects of daily treasury activities to ensure financial obligations are met.
- Monitor cash reporting, forecasting, and ensure availability of funds to meet operational needs.
- Manage credit underwriting processes, monitor compliance with lenders covenants, and prepare covenant compliance reports for lenders.
- Analyze economic trends, assess market risks, and identify treasury opportunities.
- Collaborate on financial planning initiatives, including forecasting and long-term capital planning.
- Assist in building and maintaining relationships with banking and lender partners to optimize funding and treasury solutions.
- Support the design and execution of strategies to manage the company’s capital structure effectively.
- Collaborate with internal and external auditors as needed.
- Perform treasury-related accounting tasks such as reconciliations, journal entries, and other bookkeeping activities.
- Lead process improvement process, focused on automation and implementation of artificial intelligence tools.
- Lead cross-functional projects for assessment and transition of treasury services
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Treasury services or an equivalent combination of education and work experience
Proficient
1
San Leandro, CA 94577, USA