senior analyst global treasury united states

 senior analyst global treasury united states

Positioning position: US Homebased where WVI is registered to operate.

Please submit your CV in English.

PURPOSE OF THE CENTER:

Collaborate with the directors of Partnership Finance, Financial Planning & Analysis (FP&A), Financial Reporting Services Center (FRSC) and other financial staff to meet needs and financial management. Distill key requirements and requirements for identifying changes in financial management partnership strategy.

Initiate and ensure the success of key financial management programs.

Identify and resolve critical issues affecting ongoing Partnership delays, including AML (Anti-Money Laundering) and KYC (Know Your Customer), credit quality issues, etc.

Monitor financial management processes to ensure that significant results are available, and identify and resolve potential problems.


KEY RESPONSIBILITIES:

Develop and refine World Vision's cash flow forecasts in partnership with Partnership's financial directors. Recommend the development of the National Treasury's leadership in Co-operative Cash Management Strategies to achieve sound financial goals. Use critical thinking skills to improve the quality of predictions and acceptance in collaboration.


Collaborate with Global Field Finance, FP&A, FRSC and other Partnership finance staff to find and resolve bank-related issues, including supply or compliance issues, and financial management processes, such as forecasting, reconciliation, targeted measurement, sweeping. , etc. Use critical thinking skills to determine potential solutions and recommend effective development in the field of Field Office leadership and International Treasury leadership given the ongoing resource constraints and other collaborative challenges.


Develop a broader understanding, and provide strategic support, cash, financial risk and insurance services.


Develop and implement financial reports in collaboration with FP&A and FRSC. Present it to senior management as needed, and review the results to identify potential improvements. Oversee change management processes related to financial reporting reporting results.


Initiate and continue refining important financial management processes, including reconciliation, forecasting, and resolution, particularly by looking at strategic changes, including bank selections, accounting and services, etc.


Support the Global Treasury's shared budgeting system, as required, by overseeing financial management and projects.


KNOWLEDGE, SKILLS AND SKILLS:

Bachelor's degree in finance or related field.


Working with Microsoft Excel, Microsoft Word and Microsoft Power BI.


Social skills are strong (written and oral), including the ability to listen, express concern, and adapt to the styles of others and the organization as needed.


An interest in developing technical relationships (internally and externally), with a view to advancing global financial performance.


1-3 years experience in financial performance (financial forecasting, settlement, reconciliation and reporting).


Familiarity with asset management and / or ERP systems.


Demonstrated the ability to work with peers in a collaborative environment, and to support senior management.


Preferred Skills, Knowledge and Information:

CTP, CCM, or similar certificate.


Fluency in languages ​​other than English.


Work / Travel:

Position requires the ability and willingness to move in and out of the world for up to 8% of the time.


The ability to work from home has a separate space like a home office

serious person apply from here

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