Salary: $80k -$90k plus bonus
Overview
Highly visible, hybrid opportunity for an accounting or finance professional to join the treasury team of a growing public company in Central NJ. Ideal professional will have 2+ years of experience and will deal with lenders as well as internal stake holders. For more opportunities from KNM Resources, please visit https://www.knmresources.com/all-openings.
Responsibilities
- Review credit agreements, and file compliance.
- Submission of withdrawal/transfer certificates and distribution certificates.
- Reconcile debt service payment amounts between bank invoices and internal schedules/calculations/systems.
- Maintain debt and cash-related information within the treasury management system.
- Interact with lenders and staff to answer questions.
- Prepare internal and third-party reports.
- Identify automation opportunities, process improvement, and overall efficiencies.
- Support implementation of new systems and processes.
Qualifications
- Bachelor’s Degree in Accounting, Finance or related field.
- 2+ years’ experience in Corporate Treasury, Treasury Operations or Capital Markets.
- Proficiency in MS Office suite; advanced Excell skills.
- SAP accounting systems and Treasury Management Workstations experience.
- CTP or interest in obtaining certification a plus.
- Experience with implementation of new systems and processes a plus.