Cash Management Resume Samples

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EG
E Grimes
Elvis
Grimes
115 Armstrong Station
San Francisco
CA
+1 (555) 226 9974
115 Armstrong Station
San Francisco
CA
Phone
p +1 (555) 226 9974
Experience Experience
Houston, TX
Cash Management Assistant
Houston, TX
Ferry-Gutkowski
Houston, TX
Cash Management Assistant
  • Assist the Cash Manager on all operational issues and any ad hoc Project Work
  • Coordination of SAP system improvements, testing and other SAP developments
  • Assist with on-going improvements in processes
  • Adhoc Project Work
  • Assist audit both external and internal with queries and year-end review
  • Performing cash receipt allocation with accuracy
  • Support the Cash Manager with the integration of new acquisitions into the shared service center
Boston, MA
Cash Management
Boston, MA
Grady, Marks and King
Boston, MA
Cash Management
  • Liquidity Management
  • Understand operational processes in order to provide solutions which improve operational efficiency
  • Establish short and long range sales plans and estimates current and long range market potential of assigned products and services within establish standards and the level of Risk associated with prospects and existing clients. Develop and recommend marketing objectives, including sales volume and profit forecasts, for Bank of the West’s territories in terms of cash management portfolio, number/type of relationship offices supported and service charge revenue
  • Maintain a high standard of supervisory control across all functions performed by the team
  • Escalating non complied processes in the survey answers, or consistent lack of responses to Cash Management Payment Governance team
  • Executing and controlling payment services together with BO Paris and providing high quality customer help desk services
  • Continually analyse information provided to them and challenge anomalies and discrepancies to resolution despite obstacles
present
Philadelphia, PA
VP Cash Management
Philadelphia, PA
Rowe, Leffler and Cremin
present
Philadelphia, PA
VP Cash Management
present
  • Establish strong relationships with Senior Manager, Support to ensure that CMA’s have sufficient context and established service
  • Share best practices with other VPCs, Senior Manager, Support, and Area colleagues to continually improve overall sales and service performance
  • Share best practices with other CBAMs, Senior Manager, Support, and Area colleagues to continually improve overall sales and service performance
  • Complete personal performance reviews identifying strengths and areas for development; and discuss on a regular basis performance and progress on action plans
  • Establish linkages with partners such as Senior Manager, Support and integrate process for seamless sales & service delivery
  • Complete personal performance reviews identifying strengths and areas for development; and discuss on a regular basis
  • Review fit-to-role of each direct report and provide input to workforce planning process and alternatives to close gaps
Education Education
Bachelor’s Degree in Accounting
Bachelor’s Degree in Accounting
Kean University
Bachelor’s Degree in Accounting
Skills Skills
  • Excellent Core Java knowledge and experience
  • Excellent Java Spring knowledge
  • Excellent knowledge of XML libraries
  • Applicants should be self-motivated, highly numerate and extremely accurate, team workers with good interpersonal, problem solving and analytical skills
  • Good communication skills with the ability to organise and prioritise
  • Proven ability to learn quickly and work as part of a team
  • Attention to detail and ability to retain focus whilst under pressure
  • In-depth knowledge of products, services, terminology, procedures and systems related to assigned area
  • Knowledge of Javascript libraries, e.g. XQuery
  • Knowledge of Flex, to perform minor enhancements to legacy applications
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15 Cash Management resume templates

1

Cash Management Consultant Resume Examples & Samples

  • Aligns daily activities to accomplish strategic business objectives
  • Travel - approximately 50% (typically within market territory)
  • Two to three + years experience in Cash Management Marketing or related business experience
  • General knowledge of Cash Management products/solutions
  • Competencies
  • Relationship Building – Ability to build relationships with clients and internal partners. Ability to influence those outside of direct management control
  • Marketing Expertise – Ability to leverage knowledge to proactively and creatively present solutions to clients and prospects
  • Business Acumen – Ability to understand the overarching Cash Management business environment both internally and externally. Ability to manage business results in alignment with strategic objectives
  • Time Management – Ability to establish and consistently follow a disciplined process to plan activities, manage time and accomplish tasks and objectives
  • Judgment and Professionalism – Ability to make sound decisions that consider and balance the needs of the customer and the bank. Ability to display professionalism in written and oral communications, both internally and externally
  • Travel - approximately 50% (primarily in-market)
2

Head Architect for Treasury Services & Cash Management Technology Resume Examples & Samples

  • Partnering with Application Development teams to understand functional requirements of a given project/application
  • Accountability to develop a key technical solution to meet those requirements and firmwide cost, resiliency and control requirements, leveraging standard building blocks as much as possible
  • Creating a focused mandate that develops strategic blueprints and roadmaps that are aligned with all of our investments and resources
  • Provides direct leadership for the head Design Authority and team and helps manage and promote the strategic global payments architecture agenda
  • Real technical credibility from deep knowledge/understanding of some of the most challenging requirements
  • Experience architecting and contributing to the development and execution of strategic technology initiatives which demonstrate alignment with the broader business goals and overall technology objectives
  • Effectively manage relationships across global, diverse technical SME population
  • Demonstrated experience in developing high quality teams
  • Thought leader in main technical domain
  • Change agent, continuous eye for improvements
  • Engineering Degree in a technical discipline or similar experience
  • Is a Thought Leader in one of these major domains
  • Multi-Year Experience as Application Architect in addition to skills as Infrastructure Architect
  • Experience in application development for large scale transaction systems, enterprise data systems, and highly resilient systems
  • Looking for someone having worked in an Application Development function and Infrastructure function
3

Coordinator, Global Cash Management Resume Examples & Samples

  • Responsible for managing the documentation process related to opening and closing of company bank accounts world-wide, including coordination with internal clients and banks, know-your-customer information and signature card gathering, updating signatories and completion of bank account setup forms
  • Maintain all bank account information in account database and ensure all account activity including account balances are uploaded accurately into treasury workstation
  • Maintain and manage online document repository for bank accounts globally
  • Maintain access to database for international teams, maintain entity and bank records globally, train and assist regional treasury centers with database record management
  • Address inquiries from regional treasury centers, business units and internal clients on account opening or closure status and bank statement requests
  • Facilitate bank account audits and confirmation requests with internal and external auditors
  • Process letter of credit fees and resolve fee discrepancies
  • Some analytical or system management experience
  • Experience in international treasury/cash management or banking field
  • Excellent communication (written and verbal), analytical and interpersonal skills; strong computer skills, including proficiency in Microsoft Word and Excel, Access is highly preferred
  • Ability to handle multiple tasks
4

Cib-cash Management POD Lead-VP-bangalore Resume Examples & Samples

  • Overall 4-8 years of experience
  • Excellent Java Spring knowledge
  • Good understanding of PL/SQL, and it's appropriate use
  • Good UNIX shell scripting (1 year )
  • Good understanding of implementing end user applications, data feeds, and aggregation services
  • Oracle RAC / Exadata administration
5

Cash Management Pm-VP Resume Examples & Samples

  • Lead implementation of regional and global cash management solutions of varying size and complexity
  • Continuously reduce implementation cycle time, minimize deal slippage and ssociated revenue conversion lead time. Accurately report project status, escalating effectively for “on hold” and slow moving deals
  • Disciplined application of structured project management methodologies throughout the implementation life cycle, ensuring effective project control and delivery to plan
  • Ensure strict adherence to defined quality standards and practices outlined in “best practices” collateral. Consistently achieve “excellent” rating in scheduled quality reviews
  • Ensure detailed and timely functional partner engagement leveraging defined tools effectively (e.g., CSM engagement questionnaire and ompleted CSR handover process 4/6 weeks before scheduled “go live”)
  • Effectively manage client relationships and ultimately act as trusted advisor – particularly in relation to upper tier client base. Enhanced client satisfaction should be reflected in positive client survey scores and documented during detailed post implementation reviews and case book write ups for future implementation usage and marketing purposes
  • Attention to detail and comfort dealing with completing administrative work associated with solution delivery
  • Continuously initiate and drive process enhancements
  • Participate in staff forums and survey process
  • Complete all mandatory and personal development training as stipulated by controls officer andteam lead
  • Ensure 100% effective RCSA results and support all audit protocols as appropriate
  • Project management background
  • Language proficiency: fluent (business) French or German is regarded as a significant advantage
  • Results orientation – evidence of proactively driving projects to conclusion
  • Negotiation, decision making & problem solving skills
  • Ability to manage high workload within a pressurised environment
  • Flexibility – ability to manage a varying workload (ie, volume, complexity & composition)
  • Attention to detail & experience of working in a controlled environment
6

Cash Management Solution Specialist Resume Examples & Samples

  • Serves as a trusted advisor and uses knowledge to recommend and promote cash management solutions to client/prospects to best serve their cash flow needs while still working within risk parameters that protect the bank
  • Professionally and confidently manages a disciplined marketing process and engages in quality call activities. Manages customer expectations by communicating upfront timelines and deliverables and partnering with client to successful implement cash management products
  • Seeks out training and expertise of others to enhance existing knowledge to gain full perspective
  • Bachelor’s Degree in Finance or related field
  • Strong verbal and written communication and presentation skills, able to communicate effectively with individuals at all levels, internally and externally
  • Ability to build relationships with clients and internal partners and influence others without direct control
  • Ability to balance needs of clients with personal goals and interest of firm
7

Gold Cash Management Executive Resume Examples & Samples

  • Offering end-to-end support on a selection of the banks electronic banking and cash management products
  • Proactively speaking to customers to update them with progress of outstanding cases
  • Referring to other areas and within Barclays and external parties for resolutions and building relationships between business areas
  • Welcome opportunities to attend site visits to meet clients face to face
  • Ensure all call documentation is complete, accurate, concise, detailed, legible and escalated to the correct area for further resolution if required
8

Junior Cash Management & Accounting Associate Resume Examples & Samples

  • Perform account, including bank account, reconciliations
  • Research and resolve payment discrepancies
  • Investigate and resolve customer queries in respect of payments
  • Manage cash application and post manually cash receipts in the accounting system
  • Basic in accounts receivable, VAT and general accounting
  • Experience and knowhow in bank reconciliation and in cash pooling construct as well as in general accounting and bookkeeping procedures
  • Knowledge of regulatory standards and compliance requirements and general knowledge of office administration and procedures
  • Proficient in relevant computer software
9

Cash Management Head Resume Examples & Samples

  • To develop and implement a business strategy to generate target revenues on cash management through sales and marketing of cash management products and services for corporate and FI clients
  • To develop and maintain relationships with GSGs, Banking, CCB and FI customers
  • To identifying cross-sell opportunities and increasing our SOW
  • Analysis, design, development and implementation of classical and innovative cash management products and services in respond to market demand and customer requirements and in coordination with regional management - to manage implementation of regulatory projects (payments and collections) and ensure we meet requirements within specified dates
  • Solid understanding of modern cash management trends
  • Awareness of corporate practices and treasury functions
  • Client focused, confidence dealing with clients on complex deals
  • Ability to work with matrix structure
  • Negotiation and influencing skills
  • Ability to manage multiple tasks simultaneously
  • Good judgment and practical understanding of client requirements
  • Bachelor’s degree in Economics, Finance, Banking, Business Administration, or equivalent. Master Degree is a plus
10

Cash Management Resume Examples & Samples

  • Verifying quarterly payment governance survey target population by sending the business partners/officers a list of survey recipients from the previous years
  • Confirming and updating the survey target population list once it is approved by the business partners/officers prior to distributing the survey
  • Distribute the survey questions by using the defined email template to the target population of the relevant group at the beginning of the quarter
  • Sending reminder notification two weeks into the process to act as a reminder of the upcoming due date for the survey responses
  • Collation of data for payment surveys and audits
  • Reviewing the survey responses to determine whether they are any gaps in compliance with the policy across business unites
  • Escalating non complied processes in the survey answers, or consistent lack of responses to Cash Management Payment Governance team
  • Developing and implementing testing and validation program to sample check adherence to the policy including tracking delinquent areas and monitoring remediation
  • Maintaining business area policy exceptions and tracking remediation
  • Experience in Financial Services industry (desirable)
  • Product Knowledge: basic banking & payment knowledge desirable (but not essential)
  • Language Skills: Excellent spoken and written English language skills required (the ability to interpret survey result is essential)
  • Technology Skills: Good / Advanced level of technology skills in the use of Access, Excel, Word & PowerPoint
  • Soft Skills: Confident, well-rounded, methodical person with strong analytical skills
  • Soft Skills: Self-motivated, pro-active , and have the ability to work consistently and efficiently to achieve goals, either as an individual or as part of a team
  • Soft Skills: Attention to detail and accuracy is essential
  • Soft Skills: Task orientated and inquisitive in nature
11

Advisory Sales, Cash Management, VP Resume Examples & Samples

  • Understanding all aspects of regulatory reform in the Cash space and working with clients and the business to create unique solutions
  • Developing a strategic sales initiative to help clients navigate the operational and product hurdles they will face as a result of regulatory reform
  • Sourcing new business and development of existing client relationships across a broad constituency of liquidity product users
  • Attending and leading client and prospect meetings
  • Driving asset growth for BlackRock and the firm’s cash management services
  • An entrepreneurial spirit - a demonstrated track record of thinking creatively about solutions
  • A proven ability to translate ideas into actionable items
  • An understanding of the regulatory landscape affecting client investment and operational activities
  • A basic understanding of various technological avenues our clients utilize to interact with BlackRock
  • 5 - 10 years relevant experience within financial services
  • Experience in a business development role
  • Highly motivated with a proven ability to take initiative and work independently
  • Proven contributor to a team
12

Cash Management Accounts Specialist Resume Examples & Samples

  • B.S. or B.A. 4 year degree, advanced degree preferred (marketing or finance)
  • Minimum 3 years experience in financial services, experience with CMA sweep products and banking experience a plus, 5 + years experience preferred
  • Series 7, 63 required
  • Knowledgeable of MS Office product Suite, Outlook, VPN and local area network. Any knowledge of Thompson One, BetaLink and ILX is a plus
  • Solid understanding of money market funds; bank deposit accounts, as well as general knowledge of other securities including but not limited to: mutual funds, bonds, municipal bonds, variable annuities, closed-end funds, stocks, options, and ETFs. Strong understanding of banking systems and services including but not limited to check clearance, debit cards, credit cards, lending programs, billpayment and ACH
  • Knowledge of principles and methods for showing, promoting, and selling products or services. This includes marketing strategy and tactics, product demonstration, sales techniques, and sales control systems
  • Strong presentation skills (small and larger groups). Talking to others or structuring and delivering presentations in order to convey information effectively
  • Knowledge of laws, legal codes, precedents, government regulations, and agency rules; familiarity with compliance issues surrounding money market funds, sweep products, bank deposit programs, credit cards, debit cards, ACH, check clearing, etc
13

Ops Shanghai, Cash Management Resume Examples & Samples

  • Supports Asia Treasury Funding Desk by verifying the completeness and accuracy of forward balance projections (i.e. Firm and Client accounts in currencies and accounts funded in the Asia time zone)
  • Analyzes opening cash account balances received from agent banks to identify and report discrepancies between actual and projected balances
  • Mange intra-day credit liquidity and liaise with agent banks to determine intra-day funding requirements arising from securities and cash settlements
  • Reconciles balance forecasts to Firm systems
  • Works closely with Operations groups across the Firm to understand trade bookings and settlements
  • Understands and analyzes the impact on the forecast cash position of breaks in the Firm's cash account reconciliations
  • Identifies operational errors that have resulted (or could have resulted) in inefficient funding. Calculating and reporting additional costs involved. Following up to strengthen procedures to minimize risk of recurrence
  • Identifies potential process and system improvements and raise to managers. Collaborates with Projects, Technology teams and global Cash Management counterparty on system testing, discussion and process improvement initiates
  • Ensuring that processes are documented and kept up to date
  • Participation in ad-hoc and structured project work to improve current systems and processes
  • Produce reports for cash liquidity analysis purpose, control purpose as well as for metric reporting purpose
  • University graduates in Accounting, Finance or other related disciplines
  • Experience in Financial Services industry desired
  • Experience in Investment Banking or Banking Operations desired
14

Cash Management Resume Examples & Samples

  • Certified Treasury Professional (CTP) preferred
  • 10+ years of Treasury/Cash Management experience
  • 7+ years of supervisory/managerial experience of a Cash / Treasury Management Sales Team
  • 9-10+
15

Senior Cash Management Consultant Resume Examples & Samples

  • Works with bankers to drive the development of new profitable cash management business while maintaining and growing the existing portfolio
  • Serves as a trusted advisor and uses expert knowledge to recommend and promote cash management solutions to client/prospects to best serve their cash flow needs while still working within risk parameters that protect the bank
  • Build collaborative internal relationships to develop and leverage partnership with assigned bankers. Actively participate in partner meetings and communicate key cash management messages. Drive strategic business objectives
  • Manages a disciplined marketing process and engages in quality call activities. Manages customer expectations by communicating upfront timelines and deliverables and partnering with client to successful implement cash management products
  • Seven + years experience in Cash Management Marketing or related business experience
  • Seven + years of Cash Management expert product/solution knowledge
  • Uses seasoned judgment and expert marketing protocols to offer comprehensive cash management solutions that best meet clients/ prospects needs. Anticipates market trends and business outcomes to anticipate client needs and present proactive solutions
  • Establishes and consistently uses a disciplined process to manage time and planning; uses time strategically to accomplish business objectives
  • Holds a Certified Treasury Professional certification, or has ability to obtain certification
16

Cash Management & Payments Filtering for Ofac Resume Examples & Samples

  • 5 years of solid working experience in payment operations environment
  • Comprehensive knowledge of CHIPS, Fedwire and SWIFT formatting as related to payment processing
  • 3+ years of OFAC related experience and skills, with strong knowledge of current OFAC guidelines and regulations
  • Strong knowledge and experience using of MS Office (PowerPoint, Word and Excel)
  • Display ability to perform data analysis and translate into basic presentation graphics
  • Individual is required to work holidays and overtime as needed
17

Cash Management Resume Examples & Samples

  • Reviewing and elaborating stakeholder requirements
  • Designing solutions in a collaborative manner, and in line with defined principles
  • Implement solutions with an equal focus on both functional and non-functional requirements
  • Delivery of automated functional tests using Flexible/Open Source Frameworks, such as FitNesse
  • Good understanding of implementing 3-tier architectures
  • Knowledge of Flex, to perform minor enhancements to legacy applications
  • MQ Series administration
  • Message standards: FPML, SWIFT, etc
18

Cash Management Resume Examples & Samples

  • Three to four years of experience in clerical and customer service activities
  • In-depth knowledge of products, services, terminology, procedures and systems related to assigned area
  • Ability to manage multiple projects and deadlines simultaneously while maintaining a high level of customer service
19

Lead Analyst Cash Management Controllership Resume Examples & Samples

  • Check cash operation process maps and SOPs for completeness and accuracy. SOPs should reflect not only "the what" but the why. Conduct a periodic SOP reviews in conjunction with quarterly Operations Risk required Business Environment Analyses
  • Conduct periodic cash operations assessments to ensure controls and SOPs are being followed. Layering in the controls as they relate to processes
  • Responsible for the Control Attestation along with Control self-assessment (CSA) process for Cash Management which includes gaining all the necessary input, globally, to support the quarterly attestation process
  • Work with global Cash teams to standardize processes and to drive action plans and execution to have continuous control improvement across Treasury Ops
  • Liaise with the Cash Controller to coordinate all Cash Operations Risk reporting requirements including
  • To track meaningful cash operations metrics that drives change and support accountability including KRI (key risk indicators)
  • Identify opportunities to simplify Cash Operations activity without compromising controllership. Eliminate one off manual touch points that are a prime source of "human error"
  • Demonstrated strong analytical skills Strong computer skills and proficiency in PowerPoint and Excel. Visio is a plus
  • Previous experience with project management
  • Controllership/audit experience required
  • Must submit your application for employment through gecareers.com to be considered (Internals
20

Cees-team Leader, Cash Management Resume Examples & Samples

  • Supervision, control and monitoring of Cash Management Team
  • Ensuring that all tasks are prioritised effectively
  • Ensuring all deadlines are met in accordance with bank cut off times
  • Ensuring all Cash Management reports are completed accurately and within agreed time frames
  • Provide regular training, coaching and feedback for all team members
  • Build and maintain relationships with Client Admin Team Leaders
  • Responsible for basic HR team requirements including overtime, sickness, appraisals and general wellbeing
  • Responsible for continually improving and updating procedures to ensure work processes are aligned with the ISO 9001 accreditation environment
  • Ability and willingness to act on own initiative
  • Ability to take a commercial approach to decision making
  • Ability to collate and present information in a clear and concise manner
  • Manage upwards and downwards ensuring all team members and managers needs are met
21

Cash Management Product Management Team Lead Resume Examples & Samples

  • Bachelor’s Degree in Business or Marketing required
  • Required license(s) or certification(s) CTP preferred
  • Experience & expertise to attract, develop and retain talent, including team building and mentoring
22

Group Head of Cash Management Product Resume Examples & Samples

  • Experience & expertise with the following
  • Developing and rolling out international product capabilities including on line banking
  • Developing and executing market strategies for clients with cross border cash management needs
  • Attracting, developing and retaining talent, including team building and mentoring
  • Instilling product management disciplines in a changing environment
  • Bachelor’s Degree in Business/Marketing required; Master’s/Advanced Degree preferred
  • Required license(s) or certification(s) Certified Treasury Professional (CTP) preferred
23

Cash Management Resume Examples & Samples

  • Establish short and long range sales plans and estimates current and long range market potential of assigned products and services within establish standards and the level of Risk associated with prospects and existing clients. Develop and recommend marketing objectives, including sales volume and profit forecasts, for Bank of the West’s territories in terms of cash management portfolio, number/type of relationship offices supported and service charge revenue
  • Identify and provide leadership for sales teams to cash management products and services that will expand client relationships, solve internal obstacles or service issues, and deliver seamless execution. Responsible for the actions and results of the sales team including goal obtainment, client on boarding, prospecting, profitability and risk tolerance
  • Actively manage all disciplines within the sales management process including pipeline management, calling activity, goal obtainment, relationship reviews and relationship referrals. Conducts in-person and/or joint client calls with sales team members. Assist in providing direction and strategy in closing high revenue deals
  • Manage and identify areas of needed change to drive business results through effective and seamless client delivery and ongoing employee development. Provides training, coaching and ensure team members serve as a solution oriented consultant to their clients by developing a clear and holistic understanding of the client’s/prospect’s business. Provides coaching on expected job competencies, expected leadership qualities, uncovering clients’ needs, providing comprehensive solutions, and employee advancement
  • Collaborate with internal Business Leaders, Product Development Team, Customer Service, Implementation, operations and other partners to cast a shadow of proactive, candid, meaningful communication and partnership among the teams to leverage the Bank for the client or prospect. Work with business line partners or individually develops prospects for sale of cash management services
  • Utilize reports on sales activities and makes periodic forecasts on sales potential. Analyze performance of sales personnel on an ongoing basis. Cultivate talent through development planning, coaching, employee retention, and recruiting new talent when necessary. Conduct sales meetings and inform the sales force of new developments in products and policies
  • Maintain contact with major accounts within territory. Consult with prospects and customers to identify needs and recommend the cash management services to meet those needs. Keeps informed of changes within assigned territory which might affect product sales
  • 10 or more years of directly related experience
  • 7 or more years of supervisory/managerial experience
  • Complete knowledge of corporate/business banking cash management products, applications and processes
  • Demonstrated knowledge of sales management
  • Thorough understanding of consultative sales techniques
  • Good knowledge of general accounting and cash flow
  • Strong knowledge of the Bank's products and services
24

Cash Management Senior Product Specialist Resume Examples & Samples

  • Analyze feasibility and prioritize accordingly all Sales, Relationship Management and client requests for product development including customization requests
  • Product Development encompasses payments, receivables, information reporting, international and small business capabilities, as well as on line banking channels and includes roadmap development and maintenance, contribution to development prioritization, creation of business cases, business requirements and functional specifications, overseeing project management, ensuring operational readiness, preparing for and presenting to the NAC to effectively communicate to Executive Management and secure approval
  • Product Specialists includes subject matter expertise in support of sales, developing and delivering consistent product training, developing and maintaining product documentation including legal documentation, including up to date web site content, developing and maintaining sales collateral, training, publishing publications and attending and speaking at conferences and membership/representation in select associations and industry groups
  • Financial Management includes developing and maintaining business plans, and managing the P&L of each product development initiative
  • Master’s/Advanced Degree in Business or Marketing preferred
  • 7 or more years of directly related experience
  • Experience & expertise in developing and rolling out product capabilities including on line banking
  • Experience and expertise in instilling product development disciplines in a changing or evolving environment
  • Experience in contributing to strategic initiatives related to insourcing
  • Liquidity Management
  • Product development lifecycle
  • Project P&L management
25

Cash Management Coordinator Resume Examples & Samples

  • 1-3 years related treasury/finance experience required
  • Bachelor’s degree in accounting, finance or related field strongly preferred
  • Excellent PC skills required ie Word and Excel
  • Excellent communication and organizational skills required
26

Cash Management, Lending, & Pricing Analyst Resume Examples & Samples

  • 1-3 years of experience in brokerage field
  • Data analysis skills required, with proficiency in Excel and PowerPoint
  • Strong problem-solving, market research and trend analysis capabilities
  • Strong verbal and written communication skills, with experience creating presentations for various audiences
  • Good organizational and project management skills
  • Ability to operate in a complex matrix environment
  • Series 7 and 66 required (can be obtained after hire)
27

Cash Management Clerk Resume Examples & Samples

  • For CCNA daily reconciliation of bankings and finance control accounts
  • Timely and accurate resolution of all reconciliation issues and queries
  • Reconciliation, validation, payment or collection and reporting of all CCNA company employees Expenses
  • Reconcile CCNA company currency floats and central petty cash
  • Daily, weekly, monthly production of Cash Management reports. Participate with financial month end reporting and verification of Cash Management control account balances
  • Ensure compliance with group company policies; travel, expenses etc., processes, controls, legal and tax regulations and service level agreements, in respect of Cash Management
  • Daily deposit of cheques and cash with bank
  • Archive of bank statements, employee expense forms, documents etc
  • To participate in projects, to improve and automate process and to provide training. To participate in other SSC tasks, projects as directed
  • High School Diploma or equivalent with top quarter percentile in Maths & English
  • Computer literacy including MS suite
  • Prior work experience in a finance department
28

Cash Management Product & Sales Associate Resume Examples & Samples

  • Assist in the development of new cash management business
  • Analyzes bank statements and prepare presentation material
  • Oversee the entire implementation process for cash management products
  • Works with other department members to set up cash management-related products and services
  • Meets regularly with existing clients to ensure proper servicing of accounts and uncover cross-sell opportunities
  • Some regional travel may be required
  • Serve as product generalist and respond to requests, issues, and questions
  • Understanding both technical and business aspects of the cash management business
  • Assigned projects which improve product efficiencies, procedure creation, and enhance servicing
  • Attended product and partner meetings to ensure department is kept abreast of enhancements, pressing issues and changes as well as meeting regulatory requirements
  • Key role in all product escalation management – both internal and client facing
  • Assists with both client-facing and sales force-facing educational and promotional product literature and training
  • Strong sales and product skills are required; High degree of professionalism
  • Client Service skills required
  • Proficiency in MS Office and internet applications
  • 5-7 years relevant experience in Banking
29

Cash Management & Liquidity Analyst Resume Examples & Samples

  • Analysts will be investigating and monitoring key cash movements, calculate and communicate short term projections of positions with the knowledge that key decisions are made by funding desks based upon these projections
  • Fund all currency accounts to minimize credit risk and interest expense whilst adhering to market wide funding deadlines
  • Analysts will be required to monitor cash positions intraday and mobilize liquidity as needed to proactively manage intraday positions and report drivers for usage
  • Manage the firm’s intraday liquidity, minimize costs, protect the firm’s reputation and ensure the firm adheres to regulation
30

Global Operations, Cash Management Resume Examples & Samples

  • Ensure flat funding of accounts
  • Ensure monitoring of intraday position between forecast and actual position
  • Ensure accuracy of Forward Positions
  • Ensure adequate analysis of liquidity usage figures, main drivers and reporting to Liquidity Management Reporting (LMR)
  • Develop and exercise business plans, policies and procedures
  • Lead projects to improve efficiencies and initiate change
  • Understand the firm’s different businesses and the related economics
  • Foster the bank’s compliance and risk culture; promote awareness for potential legal, regulatory and reputational risks
  • Take a strategic perspective to decisions and resource allocations
  • Build a high performing team in terms of contribution, work climate and stakeholder management
  • Be a recognized people leader, create opportunities, invest visible time and effort to make others succeed, motivate people to go the extra mile
31

Analyst, Global Cash Management Resume Examples & Samples

  • Responsible for executing the day-to-day cash activities, including company’s domestic daily cash position and domestic and international electronic funds transfers
  • Support the global issuance of Standby Letters of Credit and Bank Guarantees
  • Perform corporate bank account cash reconciliation, analyze cash balance variances and find opportunities to improve cash position accuracy
  • Track and analyze bank fees
  • Assist business units with opening and closing domestic and international bank accounts
  • Assist with department SOX compliance efforts
  • Perform various types of reporting and analysis
  • Support various department projects, such as banking RFPs, system upgrades and implementations, and process improvements
  • Act as an internal consultant to provide treasury service expertise to internal business partners as well as proactively identify opportunities for process and system improvements
  • 2+ years experience in domestic and international treasury/cash management or banking field preferred
  • Strong computer skills, including proficiency in Microsoft Word, Access, Excel and PowerPoint
  • Ability to handle multiple tasks under tight deadlines, work effectively in a team environment and handle confidential and sensitive information
  • Experience with SWIFT, treasury workstations, banking file formats (BAI, SWIFT), banking online systems, bank fee management systems and bank account administration tools
  • Bachelor’s degree in Finance, Accounting, Economics or related field required
32

Tts Tech Cash Management Technology Solution Architect Resume Examples & Samples

  • 15+ years of in-depth banking/IT experiences
  • In-depth cash management (payment/receivables/channels) domain knowledge
  • Relevant experience in designing software/application architecture and roadmap, and software development management
  • Hands-on experience in managing large scale project delivery (multi-country and concurrent rollout)
  • Hands-on technical experiences in operating system, database (Oracle, SQL server, Sybase), C/C++, Java, TIBCO, etc
33

Cib Cdi & Cash Management Team Leader Mumbai Resume Examples & Samples

  • Consistently meet KPI/ deadlines & communicates work status to appropriate parties
  • Able to implement small projects given clear goals and direction
  • Communicates effectively & professionally, responsive to queries and requests and able to escalate when needed
  • Listens effectively to client needs, asks the right questions & is sensitive to what is key/a priority for clients
  • Intermediate to in-depth understanding of products and financial concepts in immediate business area. High-level understanding of how products supported fit in at firm
  • Expresses ideas in a confident, clear and compelling way and appropriately tailors style/approach to audience, both verbally and in writing
  • Control and Process Improvement mindset
  • Identifies key stakeholders in the business process and establishes solid working relationships with these key partners
  • Experience/working knowledge of making manual payment via swift, postings GL entries & overall derivative settlements functions
  • Knowledge of UK CASS regulations & Client Money process shall be added advantage
  • Should be excellent at excel management
  • Bachelor's Degree (±16 years). Experience - 4 to 6 years
  • Effective oral and written communication
  • Strong Analytical and problem solving ability
  • Self Motivated
  • Knowledge on Microsoft Excel (esp Pivot & Vlookup)
34

Cees Team Leader, Cash Management Resume Examples & Samples

  • Checking and Releasing of all payments, foreign exchanges, fixed deposits and receipts
  • Ensuring all related book-keeping is posted in a timely manner and is up to date
  • Provide support and assistance to Cash Management Team Assistant Manager and Senior Manager
  • Act as 1st point of escalation for team members
  • Take part in additional ad-hoc duties to meet the needs of the business when required
  • Previous experience of managing teams essential
  • High level of accuracy and attention to detail is essential
  • Ability to work to tight deadlines and under pressure
  • Good telephone skills
  • Good bookkeeping skills
  • Previous payment experience essential
  • Good people management skills
  • Completer finisher – ability to see tasks through to the end
35

Specialist, Cash Management Resume Examples & Samples

  • Bachelor's degree or equivalent work experience
  • Good understanding of sales concepts and processes
  • Cash Management and Treasury Management experience is a plus
  • Strong organizational skills
  • Ability to juggle multiple projects, co-ordinate work and establish priorities
36

Cash Management Solutions Specialist Resume Examples & Samples

  • Conveys a professional, knowledgeable and confident demeanor over the phone. Builds internal and external relationships over the phone
  • Builds collaborative internal relationships to develop and leverage partnership with assigned bankers. Actively participate in partner meetings and communicate key cash management messages
  • Escalates Cash Management client issues appropriately
  • General understanding of banking, general business knowledge
  • Ability to determine and balance priorities on a daily basis to achieve business objectives
37

Senior Cash Management Consultant Business Banking Resume Examples & Samples

  • Serves as a trusted advisor, leveraging core knowledge, to recommend and promote Cash Management solutions to clients and prospects while working within the risk parameters that protect the bank
  • Builds collaborative internal relationships to develop and foster partnerships with assigned relationship managers. Actively participates in partner meetings and communicates key Cash Management messages timely and accurately
  • Engages in a disciplined marketing process and quality call activities. Manages customer expectations by communicating upfront timelines and deliverables. Partners with the client to ensure a successful implementation of Cash Management products
  • Takes ownership of escalated Cash Management client issues and leverages the appropriate resources to champion results
38

Cash Management Commercial Card Associate Resume Examples & Samples

  • Implement all new commercial card programs
  • Coordinate with back office departments and external vendors in setting up commercial card programs
  • Train clients and their employees/cardholders on how to best use all tools and products available to best manage their expenses, vendors and internal procedures. Train clients' card administrators on how to use the commercial card management tools, best amend their internal policies and communications
  • Service clients with any arising outstanding issues. Assist clients with the maintenance issues
  • Assist Cash Management Consultants, Relationship Managers and Branch Managers in selling the Bank of the West Commercial Card products by
  • Attending sales call and provide technical support
  • Demonstrating the online reporting and management tools to the clients
  • Negotiating with clients on product features, options and pricing
  • Report on business activities (e.g., new clients, client pipeline)
  • Monitor aging of accounts and follow up with Relationship Managers on delinquent accounts
  • Address any outstanding operational issues coming from the back office departments
  • Bachelors Degree or equivalent combination of education and experience
  • 3 - 5 years in a relationship management position
  • Strong knowledge of Commercial Card products and accounting processes
  • Relationship management or client servicing experience
  • 3 + years in a bankcard environment
  • Commercial Card product knowledge
  • Demonstrated sales skills
39

Cash Management Consultant Resume Examples & Samples

  • Develop and manage business relationships and maximize long-term customer satisfaction through sales and cross-selling efforts to satisfy customers’ financial needs
  • Participate in Great Western Bank’s business development program by making outside sales to new and prospective business clients with Commercial Lenders to small and mid-sized businesses to assess their financial needs
  • Handle the departments and officer’s day to day operational issues for business clients’ which includes exercising discretion and judgment in resolving customer service and operational issues
  • Maintain knowledge of competitor products and services, including pricing of deposit and loan products, fees and other charges in the market. Recommend changes to bank management with an objective of maintain competitiveness and profitability for the bank
  • Bachelor’s degree in Business Administration, finance, or related area, or equivalent experience required
  • Working knowledge of all bank products and services
  • Strong sales, communication, cross-selling, sales planning, mathematical, decision-making, customer service and analytical skills
  • Effectively utilize and manage time to accomplish sales goals on a consistent basis
40

Cees-assistant Administrator, Cash Management Resume Examples & Samples

  • Assist with the administration and processing of fixed deposits and foreign exchange deals
  • Assist with the processing of all payments and receipts
  • Ensure that all tasks are prioritised effectively
  • Ensure all deadlines are met in accordance with bank cut off times
  • Ensure all related book-keeping is posted in a timely manner and is up to date
  • Completing Cash Management reports accurately and within agreed time frames
  • Build and maintain relationships with C&I Banking and Treasury
  • Take part in ad-hoc projects
  • Basic bookkeeping skills
  • Competent phone manner
41

Cash Management Director Resume Examples & Samples

  • Liquidity Management (Funding)
  • Liquidity Risk Operations (LRO)
  • Governance & Liquidity Reporting
  • Accurately forecast, efficiently fund, analyze and report on daily currency and legal entity liquidity requirements
  • Accuracy managing and forecasting Firm liquidity requires high level of accuracy and demonstration of ownership
  • Risk management experience of identifying and mitigating operational risk
  • An intuitive thinker, able to think and plan ahead
  • Effective communication skills, both written and verbal. The ability to articulate clear and concise messages is a key skill
  • Stakeholder management skills
  • Prior experience of liquidity management, settlements and financing operations would be beneficial
42

Cash Management Assistant Resume Examples & Samples

  • Daily duties include uploading and posting the bank statements for designated entities to be completed effectively in a timely manner with due care & responsibility - includes posting of all AR receipts, payments, misc. items and bank charges
  • Processing and monitoring all payments to ensure processed in time and with required control
  • Performing cash receipt allocation with accuracy
  • Dealing with Citibank/BMG directly regarding transactional inquiries
  • Processing business Direct Debit and its record
  • Rogram Administrator for the Corporate MasterCard with Citibank
  • Posting credit card expenses to relevant GL and vendor accounts
  • Bank reconciliations to be completed within deadlines
  • Provide holiday cover where needed within cash management
  • Adhoc Project Work
  • Other administrative duties where required
43

Banking & Cash Management Senior Sales Specialist Resume Examples & Samples

  • Nurture and deepen existing private bank client relationships
  • Conduct banker portfolio and client relationship reviews to generate new business
  • Prepare and present competitor statement analyses and product proposals
  • Support the Proposal & RFP bidding processes
  • Proactively keep CPB offices and clients abreast of new products, enhancements and industry developments
  • Create and maintain a solid working relationship with the overall banking & custody team, product partners and colleagues throughout Citi
  • Strong written, listening & verbal communication skills
  • Excellent consultative selling & negotiation ability
  • Certified Treasury Professional (CTP) designation or willingness to pursue within 1-2 years of hire
44

Cash Management Resume Examples & Samples

  • Liquidity Risk Operations
  • Liquidity and Payment Governance
  • Liquidity Reporting
  • The supervisor role comprises various key elements to include
  • Maintain a high standard of supervisory control across all functions performed by the team
  • Demonstrating risk ownership, mitigation and clear lines of escalation
  • Have local managerial responsibilities within Glasgow, performing regular one-2-ones, goal setting and bi-annual evaluations
  • Close interaction with Front/Middle Office to understand business requirements, breaking down the silo approach to determine the front to back transactional flow, driving down volatility and the impact on liquidity where possible, to ensure optimum cost effectiveness of settlement
  • Respond to requests from Regulators (PRA and FED), working collaboratively across business units to pull required information and data
  • Attention to detail and ability to retain focus whilst under pressure
  • A broad understanding on a wide range of products
  • Risk management exposure, experience of identifying and mitigating operational risk
45

Cash Management Resume Examples & Samples

  • Team members are expected
  • To understand the day to day cash prediction flows and how changes may impact those flows
  • Communicate to various levels within all Lines of Business ranging from operations staff to business managers and front office traders
  • Continually analyse information provided to them and challenge anomalies and discrepancies to resolution despite obstacles
  • Continually strive to improve knowledge of external markets, regulations, products and internal processes and procedures
  • Continually strive to improve processes
  • Have a flexible approach to working hours
  • Escalate issues when appropriate and communicate status and programme updates
  • Applicants should be self-motivated, highly numerate and extremely accurate, team workers with good interpersonal, problem solving and analytical skills
  • Responsive and accessible to lines of business contacts
  • Applicants should also have a good risk and control awareness
  • Good communication skills with the ability to organise and prioritise
  • Cash Management or liquidity experience is preferable
  • Knowledge of Lean methodology preferable
  • Knowledge of ATC – Air Traffic Control Charter experience preferable
  • Previous banking experience in a Cash Management environment
  • Knowledge of the JPMorgan Cash Management systems is an advantage
  • Data Analytics skills would be beneficial
46

Junior Analyst, Cash Management Operations Resume Examples & Samples

  • 1 to 2 years of related experience
  • Knowledge of standard desktop applications used by the business unit
  • Good understanding of risk and regulatory requirements of the role
  • Basic knowledge of departmental systems and applications
47

CIB Cash Management, Marketing VP Resume Examples & Samples

  • 1) Marketing of Cash Management and other related products
  • Market cash management products, including cash and treasury management and trade financing services. Marketing efforts are conducted both individually and together with other staff in the bank
  • Implement cash management and other related products for customers by assisting in preparation of agreements, setup and training
  • Develop new deposit and cash management related customer base
  • Make call reports to share marketing information with account officers
  • 2) Relationship Management on Cash and Treasury Management Service
  • Gather information regarding customers’ business and industry
  • Develop good relationships with potential customers
  • Maintain good relationships with existing customers through regular communication
  • Meet customers’ requirement by answering customers’ transaction-related questions and help troubleshoot
  • Provide customer support for cash flow service related problems
  • Clarify and solve any compliance related issues regarding customers’ transactions
  • Share customer and product information with Customer Support team/ Operation division to improve overall CS related to the products/services
  • 3) Products Development
  • Develop new cash management and other related services by partnering with internal and external organization such as Operations and Systems Divisions, H.O. and system vendor
  • Provide support to Unit Head or perform individually for product planning and research activity to enhance our cash and treasury products base
  • Participate in various projects as a team member or project manager to improve products and services
  • Collaborate with bank’s other offices/H.O. to enhance Pan-American or Global capability of cash and treasury management area
  • 4) Administrative and other Duties
  • Support Unit Head to organize department and manage daily work
  • Support Unit Head to establish business plan and/or any necessary business procedure
  • Maintain and update customer files, PDCA files, and any required information
  • Support team members to improve and expand knowledge of cash and treasury management area
  • Other administrative duties as deemed necessary by Unit Head or DGM
  • Eligible to work in the US
  • Bachelors degree in Finance, Accounting, Economics or Business Administration
  • 10 years of cash flow business banking experience (ie. settlement or deposit operations) with good analytical skills and knowledge of financial products
  • Effective verbal and written communication skills in both Japanese and English required
  • Knowledge of regulatory policies and procedures required
  • Strong computer skills including Excel, Word and PowerPoint to support online banking activities for corporate activities
  • Good organizational and analytical skills
48

Cash Management Assistant Resume Examples & Samples

  • Daily duties to ensure all AR/AP/GL/Bank postings are completed effectively in a timely manner with due care & responsibility
  • Daily download of bank statements, reconciliation of cash/GL clearing accounts
  • Input payments, via Citidirect, SEB and BMG (EFT, Bacs, Sepa, file upload etc.)
  • Ensure all payment files including payroll are executed within required deadlines
  • Inter-company payments, posting and clearing (BMG)
  • Prepare weekly cash flow forecasting for Treasury department
  • Set up new direct debit, standing order instructions and cancellations
  • Month End tasks to be completed within deadlines, i.e. reconciliation’s for all bank accounts, journal review and regional bank reconciliations
  • Maintain KPIs and SLAs at month end for cash management
  • Review operating practices and procedures and recommend improvements to facilitate a more efficient and effective process
  • Assist with all SOX documentation for the department, ensuring all controls are implemented and maintained
  • Assist audit both external and internal with queries and year-end review
  • Coordination of SAP system improvements, testing and other SAP developments
  • Provide cover and occasionally oversee Cash Management Assistants as and when required
  • Support the Cash Manager with the integration of new acquisitions into the shared service center
  • Assist the Cash Manager on all operational issues and any ad hoc Project Work
49

Cash Management Team Leader Resume Examples & Samples

  • Enhance the sales of the department and achieving Incremental average deposit with either with existing clients or from self-developed clients
  • In addition to managing the team individually achieve min. RMB 50mln daily average deposit balance from self-developed clients, and Lead SH cash sales team to achieve targets from self-developed clients
  • Incremental NBI contribution from fee income or deposit revenue
  • Develop and maintain relationship with E-banking clients on quarterly basis
  • Follow up RMs for the newly pitched deals and pursuit cash opportunities
  • Comply with Code of Conduct as well as other applicable laws and local regulations; internal policies
  • Compliance rules and procedures; and permanent supervision requirement relevant to the job
  • Take responsibility to report any incidents and suspicious cases. Maintain a high level of personal integrity and uphold the bank's ethical standard both in professional activities and personal conduct
  • Lead cash management shanghai team to smoothly deliver the cash product to clients, maintain, monitor and support implementation and client service rep for the cash deal pipeline
  • Weekly cash team meeting is to be held and arranged by team leader to review the cash deal pipeline including new deals acquisition from cash sales, deal implementation status update from implementation and client activity updates from client service rep
50

Senior Ops Specialist, Cash Management Resume Examples & Samples

  • Answer inbound calls from the Service360 teams, General Service Center, and CCS Service Center
  • Research service requests that are created by Service360 teams, General Service Center, and CCS Service Center
  • Influence on lean principles and tools to achieve desired results
  • Provide assistance and back up other team members with various projects, tasks or cross training needs
  • Partner with other operational groups (i.e. New Accounts, Margins, Transfers , Service Center, etc) to ensure the client request is handled timely and accurately in addition to providing excellent customer service
  • Provide feedback, status and updates to management on outstanding issues, escalations and to improve advisor experience and operational efficiencies
  • Associates Degree (minimum education required)
  • 2-3 years of industry experience required
  • Innovate Thinker, Outstanding Communication (written and oral),
  • Multi-tasking, Self-Motivated, and Time Management
  • Conducts his/herself with the highest level of professionalism
  • Willing to go above and beyond to get the job done timely, accurately
  • Experience using Beta, MS-Office, and MS-Outlook is preferred
51

Cash Management COO Analyst Resume Examples & Samples

  • Develop and produce management reports, including market share and performance attribution, to determine competitive position within the industry
  • Manage the day-to-day operations of the global team and drive operational efficiency by enhancing existing processes
  • Research and report on industry trends, client patterns, sales activity and pipeline
  • Oversee data integrity within our client relationship management tool and client AUM database
  • Serve as the liaison with BlackRock solutions on existing technology interfaces and initiatives
  • Respond to internal inquiries on Cash Management business performance
  • Manage flow of performance information to internal partners
  • Ad-hoc projects as needed
  • Excellent analytical and problem-solving skills with ability to synthesis large quantities of data
  • Critical thinker with ability to absorb information quickly, understand complex issues, find new solutions, and deliver results
  • Strong attention to detail, process oriented, strong organizational skills, and ability to manage competing priorities and deadlines
  • Advanced Excel, PowerPoint, and IT skills
  • Self-motivated with strong integrity and ethics
  • Experience in the financial industry
52

Cash Management Director Resume Examples & Samples

  • Payment Sanctions Screening and Governance
  • Governance (Liquidity, Payment and Reporting)
  • Partner with Liquidity Management to ensure appropriate bank balances to support daily Firm operations
  • Incoming and outgoing free format SWIFT message review for appropriate routing and to ensure compliance with Payment Governance policies
  • Physical check processing
  • Ability to set priorities and recognize time constraints
  • Ability to communicate clearly to internal stakeholders
53

Cash Management & Trade Sales Resume Examples & Samples

  • Selling: Customer acquisition by teaming up with relationship managers; increasing the share of wallet of Treasury and Trade Solutions (TTS) products on existing customers
  • Planning: The Cash Management & Trade Sales has to identify/plan future business opportunities, products & solutions to be provided to the customers, etc
  • Reporting: The Cash Management & Trade Sales has to effectively use CRM to capture all business opportunities and to deliver activity/business reports within the deadlines
  • Marketing: The Cash Management & Trade Sales is responsible for updating constantly the client facing materials (ppt presentations / word proposal) and for ensuriing that the regional teams know the correct pricing information about the standard grid of Citi in Romania
  • Compliance: The Cash Management & Trade Sales is responsible to follow all Citi global and local compliance procedures
  • Ad-hoc sales related tasks as per direct manager / region requirement
  • Compliance with Citi Employee Handbook
  • Ensures adequate back-up through appropiate sharing of required information during leaves
  • Keeps abreast with Citi policies and procedures follows Citi policies and procedures
  • Develops and implements new processes supporting increased efficiency of activity within all departments
  • Participates in meetings announcing changes/updates on processes, products and/or services and takes action accordingly
  • Provides support to other departments and is responsible to ensure that the company's rules and procedures are followed
  • Other responsibilities as assigned by the supervisor
  • 3 year banking or other relevant experience
  • Sales expertise
  • Must be familiar with MIFT and AML policies; should know the basics about market risk policies, compliance policies and HR policies of Citi
  • Must know very well domestic and X-Border cash management products and services, Trade products in order to ensure deals origination and basics about FX products
54

Cash Management Lead Resume Examples & Samples

  • Client and business focused – handles difficult requests effectively, building long-term relationships with clients and manage business expectations
  • Excellent team-player with good communication skills
  • Has an eye for detail
55

Treasury Associate, Cash Management Resume Examples & Samples

  • Provide internal consulting services to the Prudential business units
  • Support business unit requests for bank account maintenance including, but not limited to, bank account openings, closings and changes associated with the accounts. This includes preparing the necessary documentation (letters) for the bank, obtaining required signatures, working with Legal and Corporate Secretarys to obtain corresponding legal documents, and communicating with the business throughout the process
  • Register custody accounts in foreign markets, which is an extensive process involving collaboration across business unit disciplines and the banks
  • Assist with research and documentation of complex project related assignments, including reviewing bank account information, bank compensation, global bank account reporting and preparing reports for external reporting
  • Investigate, research, and resolve requests and inquiries received from business units and banks
  • Create and maintain procedures and workflow documents
56

Coordinator, Global Cash Management Resume Examples & Samples

  • Input, update and maintain all bank account information in account database and ensure all account activity including account balances are uploaded accurately into treasury workstation
  • Maintain and mange online document repository for bank accounts globally
  • Assist business units with opening and closing bank accounts and changing signatories
  • Assist with special projects as needed, inlcuing Foreign Bank Account filing and data analisys
57

Head of Cash Management Resume Examples & Samples

  • Lead a cash management sales team to promote and develop cash management service
  • Develop sales and marketing strategy to enhance cash management service
  • Identify potential customers through analysis of relevant customers' transaction data and market trend
  • Collaborate with the overseas office of Transaction Banking Division to achieve sales target
  • Business trips around East Asia region may be required
58

VP Cash Management Resume Examples & Samples

  • Review fit-to-role of each direct report and provide input to workforce planning process and alternatives to close gaps
  • Task direct reports such that they have challenging, but achievable work and performance expectations
  • Recognize and reward desired behaviours and performance success through informal recognition and use of the Bravo program
  • Complete personal performance reviews identifying strengths and areas for development; and discuss on a regular basis
  • Cash Management, Deposits Product Knowledge and Fulfillment (In-depth)
  • Managerial Leadership (In-depth)
  • Coaching (In-depth)
  • Conflict Management & Resolution (In-depth)
  • Problem Solving (In-Depth)
  • Negotiation(Expert)
  • Relationship Management (In-Depth)
59

CIB Tech-cash Management Architect Resume Examples & Samples

  • Develop a region wide set of application roadmaps depicting the transition of the application infrastructure over time
  • Develop & Own solution architecture for APAC TS & Cash management programmes
  • Engage the business on short term and long term planning/business development as it pertains to the application solution set
  • Work with Global central architects & SME’s to ensure technical architectures are aligned and reflect business priorities
  • At least 5 years of experience working in the Wholesale Banking Domain
  • Demonstrated business understanding and understanding of work in a major financial services company
  • At least 5 to 7 years experience conducting and leading business system analysis and Solution architecture
  • An extensive skill sit with demonstrated successful results including
  • Executes the collection and documentation of information that describes the current state, reference baselines, and target architectures
  • Stay abreast of current methodologies for software analysis and design
  • Work with business analysts, engineers, and domain architects
  • Ensure the interoperability and standardization of technology solutions and their alignment with a worldwide business and technical vision
  • Collaborate with domain architecture stewards to define reference architectures, road-maps and recommendations
  • Strong Technical background having experience in SOA, Distributed & mainframe technologies
  • Superior problem solving skills
  • Ability to grasp the big picture of the business drivers and IT drivers in order to create solution and work at a detailed level, as may be required by business and IT teams to implement solutions
  • Ability to identify similar problem patterns and create standard solutions while adapting these to the peculiar needs of a given business or IT problem
  • Previous execution experience of mid-sized to large system design, development and deployment experience related to high data volume and efficient throughput is strongly preferred
  • Must have the ability to influence, guide and mentor other technical resources (sometimes business) and especially develop other architects or enlist others to carry out best practices of architecture in the course of their developing solutions
  • Ability to develop designs and solutions that pay attention to architecture design quality, cost effectiveness and the inherent risks in approach while proposing credible and effective mitigations
  • Ability to collaborate with teams across the firm in order to leverage previous experiences, utilities and shared capabilities
  • Formulates solutions that are credible and holistic and take into consideration a broad array of factors that will shape the solution design. These include feasibility of testing, implementation, availability of skills for the technology, viability of relevant third parties
  • Very knowledgeable about best practices, industry standards, open-source, emerging trends
  • Good visualization and presentation skills to create visual models and experience using industry modeling tools
  • Excellent team player with ability to communicate effectively with software engineers, infrastructure engineers, business analysts, and business managers
  • Five to ten years experience in analyzing and specifying large-scale complex computer applications with at least three years in an architectural design leadership role
  • Bachelor's degree in Engineering, Computer Science or equivalent required
  • Minimum of 5 years experience in financial services is preferred
60

Cash Management Senior Associate Resume Examples & Samples

  • Process all new Treasury & Insurance business relationships in the Independence BRET tool. Maintain BRET system and ensure all new relationships are updated and approved and process all renewing relationships. Obtain approvals from Partners to obtain and renew business relationships
  • Research and Advise on all potential relationships based on the Independence status
  • Prepare quarterly Independence reports for all treasury relationships. Review and reconcile Independence reports
  • Will assist with daily cash transactions, wire transfers and investments. Aid in the coordination of year end cash activity. Maintain bank relationships. Prepare and review accounting for treasury related transactions and insurance transactions
  • Strong communication, analytical and organizational skills
  • Knowledge of banking and electronic payment systems
  • MS office suite, Excel and Powerpoint
  • Knowledge of SAP and JPM Access preferred but not required
  • Approximately 2-5 years of bank and/or corporate treasury experience as well as 2-3 years of insurance knowledge or certification
61

Tts-head of Core Cash Management Resume Examples & Samples

  • Payments & Receivables – electronic and physical, multi-domestic transaction processing solutions
  • Channels and Enterprise Services – Citi’s digital client interfaces including the award winning CitiDirect and CitiConnect platforms, and management of Account Services, Billing and other data intensive services
  • Commercial Cards – T&E, Virtual and Procurement Card solutions with multi-jurisdiction issuance on a common global platform
  • Innovation Lab (management of the lab on behalf of TTS APAC) – forming part of Citi’s global innovation structure, the Singapore based Innovation Lab delivers next generation capabilities to TTS clients
  • Degree or equivalent preferred
62

Liquidity & Cash Management Resume Examples & Samples

  • Day to day running of tri-party agents including Bony/JPM/Euroclear
  • Providing support to the Equity Stock loan/financing desks as well as the Repo Rates/Credit desks
  • Break investigation/resolution
  • P&L Attribution
  • Regulatory and Control Items
  • A strong understanding of Repo/Stock Lending operations
  • Collateral Management, under either ISDA CSA, GMRA or GMSLA desirable
  • Previous Triparty experience and knowledge would also be beneficial (Euroclear/Clearstream/BONY/JPM)
  • Proactive in looking for ways to improve processes and controls
  • Strong awareness of risk and control in day to day work is critical
  • High level of numeracy and attention to detail
  • Strong time management and ability to work under pressure
  • Strong communication skills and ability to communicate at various levels within an organisation
63

Cash Management Supervisor Resume Examples & Samples

  • Bachelor's Degree in Finance/Accounting/Economics preferred
  • 5+ accounting/finance years experience, 2+ years cash management experience
  • Prior management experience required
64

Cash Management Supervisor Resume Examples & Samples

  • Minimum 3 years’ experience in accounting management and cash management
  • Minimum 1 year prior supervisory/management experience required
  • Experience in accounting systems required, Great Plains preferred
  • Professional demeanor and confidentiality a must
  • Must be able to solve problems by finding solutions based on diverse procedures and precedents
  • Ability to communicate with many different clients and internal departments
  • Excellent follow through and research skills
  • Excellent coaching, mentoring and team building skills
  • Excellent organizational skills and attention to detail required
  • Ability to manage and participate effectively in a team atmosphere
  • Must be able to work in a fast-paced environment with daily work processing deadlines
  • Intermediate proficiency in PC/Windows related software (e.g. MSWord, Excel) required
  • Demonstrated ability/experience in team building
  • Experience in managing and implementing process redesign
  • Ability to work effectively with minor supervision
  • Must be able to work in a fast paced environment with daily work processing deadlines
  • Must be able to handle multiple tasks/projects simultaneously
  • As necessary
65

Analyst, Global Credit & Cash Management Resume Examples & Samples

  • Provides training and direction to junior credit specialists with respect to client transactions and data input into Credit Systems and related reporting capacities (i.e. fulfills a “help desk” function with respect to main credit systems, including CCMS/CID and CoMS)
  • Works on and assist with maintaining and improving credit data integrity e.g.: preparing and approving administrative credit transaction request on CCMS, CoMS data
  • Performs regular data integrity reviews and repairs in CCMS/CID and CoMS
  • Assists with developing training materials, esp. gathering information for case study examples
  • Runs data queries, manipulate large amounts of client data, and prepare draft data analysis to support strategic projects. Document data sources and process for future re-use
  • Extracts data from credit systems and prepare draft reports of regularly scheduled (monthly, quarterly, annually) management reports
  • Submits and manages requests for access to credit systems
  • Prepares layout, charts, graphics in presentations for portfolio reporting, strategic initiatives, executive updates
  • Prepares and distributes daily/monthly reports by deadline, to manage operational risk in the global credit portfolio
  • Responds to frequent demands for ad-hoc data mining and related reporting, which often requires a fast turnaround time
  • Maintains consolidated, regional and business line reporting on cash and credit balances, revenue and profitability
  • Other execution and delivery tasks, as delegated by Head of GCCM, Directors, Sr. Manager and Manager
  • Supports other teams within GCCM on marketing and strategic initiatives
  • Bachelor’s Degree (major in Business, Finance, Accounting or related field) from an accredited university
66

Analyst, Cash Management Services Resume Examples & Samples

  • Manage change requests and enhancements for select Cash Management Services projects
  • Tracking of progress and status on open projects; follow up with partners on other teams, such as Service, Operations, Product and Technology
  • Analyze and track competitor offerings in the cash management services space
  • Monthly analysis and reporting of performance metrics across the cash management products, including cardholder usage and spend, money movement, account services
  • Partner with the Fraud Team on certain fraud prevention projects related to the Cash Management Services
  • Support the delivery of a positive client and field experience through development and participation in projects and activities which support continuous improvement and innovation
  • Minimum of 2 years’ experience in banking services or in a high-touch client service business
  • Desired background and experience include experience as an analyst or in a project management support role
  • Undergraduate degree required, MBA desired
  • Strategic thinker able to define and evaluate alternatives and translate goals into specific project tasks
  • Detail oriented, highly organized, able to manage time and multiple projects effectively, analytical thinker
  • Experience working with service, operations and technology groups to create and implement product solutions
  • The successful candidate will be a strategic thinker who can execute tactically, be a self-starter, with the ability to multi-task, thrive in a fast-paced team environment and be able to proactively anticipate, identify, and resolve problems
  • Excellent written, communication and interpersonal skills required
67

Client Cash Management Services Resume Examples & Samples

  • Accounting and book keeping knowledge
  • Computer literacy including word and intermediate excel
  • Ability to handle volume and work to deadlines in a calm methodical /logical manner
  • Insolvency industry knowledge
  • Able to take ownership/responsibility for tasks/duties
  • Evidence of risk awareness and working in a controls orientated environment
  • Excellent communication skills and able to flex style
  • Ability to form, develop and sustain good working relationships with the team and internal customers
  • A positive “can do” attitude
  • Evidence of flexibility and openness to change as a result of process improvement
68

VP Cash Management Resume Examples & Samples

  • Performance and progress on action plans
  • Discuss direct reports performance capability relative to their aspirations and provide guidance and advice
  • Recommend salary merit changes as appropriate and communicate outcomes of review and decision on pay level of direct reports
  • Take appropriate corrective action when gaps to fit-to–role remain outstanding revising performance plans as required
  • Actively participate in coaching for performance, developing skills and ability to consistently deliver the BMO Way, follow sales management procedures, performance metrics, etc
  • 20% - PLANNING
  • Develop and execute a 1 - 2 year business plan for recommendation to the District Vice-President (or Senior Vice-President as appropriate) to optimize new and existing cash management opportunities within their community
  • Continually gather and assess the competitive and market opportunities to identify strengths, opportunities, weaknesses, and threats relative to cash management
  • Clearly articulate the activities and resources required to execute all components of the plan
  • Make recommendations as required to the District Vice-President (or SVP as appropriate) and participate in the development of the District business plan
  • Review team progress to plans regularly and take appropriate actions to address any sales opportunities
  • Actively participate in the implementation of short-term actions necessary to address unanticipated internal and external issues affecting the ability of the Area/District team to meet business plan goals
  • Review and approve business cash management plans and ensure that they are aligned to RM portfolio plans which will support the achievement of the district commercial plans
  • Ensure cash management plans are sufficient to deliver on the area/district business plans
  • Review cash management plans on an ongoing basis with respect to changes to competitive and local environment, and develope action plans as appropriate
  • Assess risk areas and where considered excessive develop an action plan for review by District Vice President (or SVP as
  • Appropriate)
  • Develop plans which optimize the allocation of resources to achieve the desired customer experience, cash management goals
  • Review resources and current resource allocation with Commercial Banking Area Manager (CBAM), on an ongoing basis to ensure proper Cash Management Specialist (CMS) alignment to CAM portfolios
  • CBAM and Senior Manager, Cash Management must collaborate to develop a deal team framework within their territories
  • Ensure all resource allocation recommendations are provided to the District Vice President (or SVP) for approval
  • Develop succession plan ensuring availability of qualified employees to assume key positions and escalate identified gaps to District Vice President (or SVP as appropriate)
  • 40% - SALES AND SERVICE MANAGEMENT
  • Set direction, assess and continually improve sales and service skilled knowledge and behaviours of direct reports following the approved Sales & Service Management process i.e. Coaching for Performance
  • Apply a consistent approach to the Sales & Service Management Process
  • Review direct reports’ pipelines and customer action plans by providing coaching, guidance and suggestions for improvement to maximize the effectiveness of cash management sales penetration
  • Ensure Cash Management Specialists are working closely with their assigned Commercial Account Manager’s (CAM’s) to ensure the overall Commercial customer cash management needs are met
  • Develop and execute individual development plans for direct reports, identifying ongoing performance issues and take appropriate actions as needed
  • Assess effectiveness of development plans and make adjustments as appropriate
  • Monitor results and key effectiveness measures (e.g. sales targets, cash management penetration, share of wallet and referral targets)
  • Leverage BMO and 3rd Party partners using approved processes to support the delivery of the desired customer experience
  • Manage processes with Senior Manager, Support and Global Treasury Management (if applicable) to ensure effective and efficient customer service and processes
  • Take immediate actions on escalated issues where processes and /or performance are not delivering the desired customer experience
  • Work effectively with colleagues and cross functional roles to leverage sales and referral opportunities
  • Work with the CAM and CBAM to leverage sales opportunities to improve share of wallet and acquire new customers (as
  • Establish linkages with partners such as Senior Manager, Support and integrate process for seamless sales & service delivery
  • Share best practices with other CBAMs, Senior Manager, Support, and Area colleagues to continually improve overall sales and service performance
  • Establish strong relationships with Senior Manager, Support to ensure that CMA’s have sufficient context and established service level agreements for work impacting immediate direct reports,
  • Contribute personally to selling Commercial Banking Cash Management products which meet the needs of our customers
  • Contribute personally to the Bank and Area/District business objectives by way of joint sales calls with CMS where appropriate
  • Develop and leverage a strong and diverse personal referral network to generate new business opportunities
  • Represent BMO Bank of Montreal in the community and continually leverage opportunities to enhance the Bank’s profile
  • Exercise discretionary Cash Management pricing limits that exceeds direct reports limits as deemed necessary
  • Exercise assigned discretionary limits to approve quality deals that exceed direct report’s discretionary limits related to cash management
  • Exercise judgment and ensure adherence to Bank Policy for cash management pricing
  • 10% - RISK MANAGEMENT AND COMPLIANCE
  • Monitor completion of Operational Effectiveness requirements in Policy & Procedures and other communications to
  • Manage risk within acceptable limits
  • Set direction for operational effectiveness/risk management and compliance practices and continually reinforce the need to understand and manage risk
  • Keep up to date on changes to products, processes, P&P and technologies and set appropriate context for significant changes to direct reports
  • Monitor the effectiveness of operational controls in place, identify deficiencies, initiate appropriate corrective actions to ensure controls are adequate and escalate as required
  • Maintain evidence of monitoring activities for audit purposes
  • Monitor direct reports for adherence to risk and compliance requirements as per P & P, circulars, National Standards, and other relevant communications
  • Ensure the optimal effectiveness and efficiency of the operation through an organization design which is consistent with the national organization design principles and guidelines
69

Cash Management Senior Specialist Resume Examples & Samples

  • Bachelor’s degree and 3+ years related of experience in a financial services operations role is a plus
  • Series 99 within 120 days of hire if role processes cash or security movements
  • Ability to work with 3rd party vendor software
  • Proficiency and experience with Microsoft Office (Word, Excel, Outlook, PowerPoint)
  • Strong analytical skills with the ability to perform advanced problem solving
  • Ability to tolerate multiple assignments, work under pressure and within deadlines and produce accurate results
  • Detail oriented with focus on accuracy
  • Superior organizational skills with the ability to prioritize, monitor, and complete multiple tasks or projects, either independently or collaboratively within a team
  • Excellent written and verbal communication skills are a must with the ability to effectively relate to work in a team-oriented setting
  • Passion for providing high-value client service
  • Ability to stay focused under pressure and to prioritize work in order to effectively manage time
  • Proven reliability in attendance and performance
70

Corporate Cash Management Business Manager Resume Examples & Samples

  • Provide product management, operational and regulatory oversight, co-supervision and strategic direction for UBSFSI's $27+ billion AUM, $21+mm revenue, Corporate Cash Management (CCM) business within WMA
  • Expertise and business leadership for the management of separately managed, short-duration, high-grade liquidity portfolios customized for corporate and other institutional entities
  • Primary liaison between the CCM business - which resides in Chicago - and Home Office partners
  • Principal home office strategic partner to Pinnacle club level, Barron's top 100, CCM advisors and home office 'team leader' of their team and select branch management (~30 individuals)
  • Primary decision maker to facilitate ease of doing business for CCM FA's while minimizing risk to the firm
71

Accounts Receivable & Cash Management Resume Examples & Samples

  • Performance management for your team, including oversight of execution of daily operations
  • Manage the training, development and career plans for the team in anticipation of changing business requirements
  • Drive effective business partnerships with Corporate, Business Process Leads, Business Unit stakeholders and P2P enabling them to meet their business goals, and identify process and service improvement opportunities
  • Coordinate resource planning and scheduling of AR and Cash activities
  • AR management for 60+ legal entities, 280+ customers
  • Audit coordination
  • Balance sheet management including preparation and approval of monthly reconciliations
  • Lead and drive continuous improvement initiatives to optimize the end-to-end Treasury process
  • Support other business priorities which arise across GFO
  • AR collection and clearing of customers receipts/invoices
  • AR aging and sales reporting
  • Preparation of quarterly bad debt provision
  • FEBAN clearing and review of suspense accounts
  • Execution of payment runs, including manual payment requests
  • Balance sheet management including preparation of monthly reconciliations
  • Upload of daily bank statements
  • Ensuring of compliance with Company policies and procedures and provision of input for KPIs
  • Application of operational excellence and LEAN tools to make continuous improvements to processes
72

Full Stack Software Engineer Cash Management Technology Associate Resume Examples & Samples

  • You will be responsible for hands on development using Java, C# and TypeScript, using test first behavioural driven techniques
  • You will be responsible for designing and developing greenfield solutions as well as developing enhancement of existing components
  • Cash Management Technology operates in Agile Scrum teams running on bi-weekly sprints
  • You will be expected to demand the best of yourself and your colleagues
  • You will ensure code quality and testing standards, lead code reviews and ensure code coverage test metrics are upheld and enhanced
  • Your role will involve ensuring environment controls and usage, ensuring testing environments are correctly managed across projects and small enhancement work
  • You role will involve providing level 3 support
  • You should think at all times as an “owner” and demonstrably work to ensure continuous improvement of both the department’s suite of applications and the methods by which they are developed and delivered
  • This is a great opportunity for a developer who has some agile and TDD experience but would like to take it to the next level
  • In addition you will get the opportunity to liaise directly with end users through the development and testing phases, as well as show casing your work in the end of sprint demos
  • In-depth knowledge of enterprise software development with at least one of Java, C# or TypeScript
  • Proven Track record in delivering system enhancements into a production environment on schedule
  • Competence with the Linux/Windows Operating Systems
  • Practical knowledge of source control and issue management tools, ideally Git and JIRA
  • Highly proficient written and verbal communication skills in the English language
  • Solid understanding of RDBMS and database application development, ideally Sybase/DB2
  • Familiarity with messaging protocols and communication patterns, such as JMS/SOAP/GPB
  • Prior experience in Financial Services; an understanding of front-to-back office business processes, particularly in the Cash Management, Corporate Treasury and/or Financial Controller domains
  • Experience with one of Java, C# or TypeScript in addition to their core competency
  • Experience with cross technology communications, specifically Java/C#
  • In depth experience with Spring if coming from a Java background
  • Familiarity with Unix/Linux scripting development technologies, specifically PERL/Korn
73

Payment & Cash Management Head Resume Examples & Samples

  • Responsible for Payment & Cash Management business in Corporate Banking
  • Minimum 10 year Payment & Cash Management experience with Bank based in Japan
  • Payment & Cash Management experience in Global Bank based in Japan
74

Product Specialist Cash Management Resume Examples & Samples

  • Good knowledge or German or French considered an additional asset
  • 5+ years of experience in Treasury Services preferably with Corporates
  • In depth know-how of US commercial payment processing
  • Ability to provide advice on Payables, Receivables strategy (ACH, Checks, Lockbox)
  • Experienced relationship manager with excellent sales management skills
  • Independent, reliable, driven individual, committed
75

VP Cash Management Resume Examples & Samples

  • Complete personal performance reviews identifying strengths and areas for development; and discuss on a regular basis performance and progress on action plans
  • Review cash management plans on an ongoing basis with respect to changes to competitive and local environment, and develop action plans as appropriate
  • Assess risk areas and where considered excessive develop an action plan for review by District Vice President (or SVP as appropriate)
  • Set direction, assess and continually improve sales and service skilled knowledge and behaviours of direct reports following the approved Sales & Service Management process i.e. coaching for Performance
  • Work with the CAM and CBAM to leverage sales opportunities to improve share of wallet and acquire new customers (as appropriate)
  • Monitor completion of Operational Effectiveness requirements in Policy & Procedures and other communications to manage risk within acceptable limits
  • Ensure the optimal effectiveness and efficiency of the operation through an organization design which is consistent with the national organization design principles and guidelin
76

VP-cash Management Resume Examples & Samples

  • Cash Transaction Services (Disburse)
  • Lead the Cash Management team as a location head of functions performed in the location
  • Manage team performance to ensure daily operational processes and supervisory controls are performed accurately and timely, including high impact functions which may incur regulatory and other reputational impacts to the Firm
  • Act as the point of escalation for production issues and proactively engage with necessary internal stakeholders (e.g. Treasury/Financial Controllers/Operations) and external stakeholders (e.g. agent banks and market trading counterparties) to result in resolution. Conduct post-mortem analysis if necessary to identify any strategic action items
  • Escalate to Functional Lead, Asia Head of Cash Management and other senior managers as required promptly and appropriately, according to pre-set escalation triggers
  • Actively participate in new product and new business approval discussion process to ensure process complies to Firm policies and Cash Managements functional readiness to supporting the business
  • Regular review of business processes with the team to own the implementation of any risk or commercial enhancement initiatives to ensure efficiencies are achieved and controls established are robust
  • Ownership of business and technology initiatives, working in collaboration with global/regional functional leads in Cash Management, Treasury, Operations, Information Technology and other stakeholders
  • Maintain a clear focus on enhancing control, achieve operational efficiency and reduce operational risk. Drive the view of control and processes to reduce operational risks
  • Where applicable, perform managerial review of regulatory reporting
  • Manage team performance, provide coaching and guidance to team members for individual career development as well as team development
  • Sets direction for the team, encourage Firm culture and lead by example
  • University graduates in finance or other related disciplines
  • Experience in Treasury or Operations in financial institutions (Treasury Operations, Cash Payment Operations, and Settlements) desired
  • Confident, well-rounded, methodical person with strong analytical skills and with good inter-personal skills to work in a collaborative across functions and stakeholders
  • Ability and confidence to identify and raise risks/issues to management, and to suggest solutions to issues, process improvements or highlight gaps and areas of concern
  • Possess team and people management experience. Ability to demonstrate leadership to achieve organizational and team goals
  • Excellent communication skills both oral and written are essential (requires dealing with regional and international colleagues from a variety of Morgan Stanley departments on a regular basis)
  • Result oriented, inquisition in nature and ability to question and challenge a process
  • Self-motivated and have the ability to work consistently and efficiently to achieve goals either as an individual or as part of a team
  • Flexibility to adapt and respond to client request in a fast paced environment
77

Cash Management & Treasury Mumbai Resume Examples & Samples

  • Chairing outage resolution conference calls, managing significant incidents and co-ordinating communications
  • Initiating, growing and shaping processes, procedures and strategies to make the team more efficient ? familiarity with ITIL service management frameworks would be of benefit
  • Presenting to the wider group and sharing best-practice
  • Leading projects and initiatives within the team to implement new strategies; manage events (infrastructure change, software releases, business continuity tests etc.) and on-board support for new business areas or renovated systems
  • Developing and coaching others
  • Marshall offshore resources providing level 1 and level 2 support cover for server side incidents
  • Being a key point of contact for the application development teams to drive problem management
  • Acting as a primary escalation /communication point between Application development teams and Business Units
  • Challenging existing practices to strive for continuous improvement
  • Intermediate knowledge of UNIX operating systems
  • Familiarity with relational database concepts and basic sql syntax
  • Familiarity with client/server based application architectures
  • Prior application support experience
  • Perl and shell scripting
  • Excellent prioritisation and time management
  • An analytical approach to problem solving
78

Senior Cash Management Consultant Resume Examples & Samples

  • Works with relationship managers to drive the development of new profitable Cash Management business while maintaining and growing the existing portfolio
  • Serves as a trusted advisor, leveraging expert knowledge, to recommend and promote Cash Management solutions to clients and prospects while working within the risk parameters that protect the bank
  • Assists as a resource and advisor for new and/or junior Cash Management Consultants
79

Cbna-o&t-cash Management Services Specialist Resume Examples & Samples

  • Maker operational duties of domestic and foreign cash transactions, including receiving of documents over the counter and via fax
  • Supports the delivery of services in line with agreed service standards and turnaround time to meet client expectations
  • Perform controls, basic investigations, user-approver-testing, and other maker-related functions
  • Proficient in MS Office such as Excel / Word / Powerpoint
  • Good analytical skills that will allow rational, realistic, timely, and sound decision-making, factoring in as well a clear understanding of risk
  • Organized and has good attention to details
  • Demonstrates self-motivation and shows determination to achieve goals
  • Customer-oriented and a team player
80

Cash Management Director Resume Examples & Samples

  • Working Manager of a Liquidity Management Funding team
  • Understand and calculate the daily funding requirements for specific business areas firm wide
  • Provide the Treasury Funding Desk with accurate daily and future cash projections to effectively fund the Firm
  • Work with business units and controllers to coordinate funding requirements around structured deals
  • Reporting on firm funding drivers and balance management
  • Understanding and monitoring of intercompany loan relationships
  • Analyze cost of business for efficiencies and cost savings
  • Advise internal clients on firms funding model and Ensure that best cash management practices are in place
  • Strong quantitative and qualitative skills
  • Good initiative with ability to drive small projects and efficiencies forward
  • Extremely knowledgeable with Excel, Word, Powerpoint, and Access databases
81

Associate, West Region Sales, Cash Management Resume Examples & Samples

  • Supporting the sales team’s prospecting efforts by providing data analysis, assisting with pitch book production, accompanying in meetings and conference calls where appropriate
  • Close collaboration with Product Strategy and Portfolio Management teams to prepare materials for client review meetings
  • Ongoing relationship management support – dealing with day-to-day client queries, providing office coverage when the sales team are on client visits
  • Working with Spectra and COO teams to ensure West Region accounts and pipeline of opportunities are mapped and reported correctly
  • Supporting relationship management efforts with key intermediary partners in the region
  • Working closely with Sales team partners in EMEA to provide seamless client coverage globally
  • Assisting with arranging local client events in conjunction with CMG and Central Marketing functions
  • Proven contributor in a team environment
  • Technical, with a keen eye for detail
  • 3-5 years’ relevant experience within financial services
  • MBA preferred
  • Hold Series 7 and 63 licenses
82

Administrative Clerk Cash Management Services Resume Examples & Samples

  • Assist in the administration of the Cash Management Services responsibilities by
  • Acquiring and maintaining a good knowledge of all accounting functions and a thorough knowledge of the operating systems in the accounting functions; this includes acquiring and maintaining a working knowledge of retail products and services and a detailed knowledge of commercial products and services
  • Reconciling all assigned accounting systems on a daily basis, preparing corrections as required
  • Preparing/checking entries and input documents as required
  • Accurately processing, posting, and maintaining the daily transactions originated by branches, customers, management, or a B/F system
  • Verifying the accuracy and completeness of transactions and non-dollar maintenance data as posted by others, documenting errors for subsequent correction
  • Preparing reports and returns as required
  • Trending key indicator information for reporting to management
  • Assisting in the training/cross-training of personnel
  • Provide service to branches that is consistent with ScotiaService standards by
  • Taking full responsibility for assigned customer and branch enquiries, concerns, and complaints by resolving those matters within assigned timeframes and standards
  • Maintaining the confidentiality of customer information
  • Providing guidance to branches as required, when clarification of processes is required in order to reduce the number of errors
  • Maintain strict adherence to security procedures by
  • Maintaining all negotiable items, stamps, keys, and passwords consigned to custody in accordance with Banking regulations and within assigned limits
  • Adhering to established Bank regulations and procedures within assigned authority and responsibility. Reporting any unusual occurrences or fraudulent activity to the supervisor
  • Ensuring that any exception items and/r conditions are escalated to management along with required action/action completed each day
  • Thorough knowledge and understanding of all accounting procedures and an expert knowledge of deposit related systems
  • Ability to handle high-profile accounts and large dollar value transactions within strict timeframes
  • Good understanding of LAN/PC Operations & Applications
  • Must be flexible in a constantly changing environment (procedural and automated systems)
83

CIB Ops-cash Management Resume Examples & Samples

  • Manage the Primary Services of Cash Management with specific global supervisory controls related to the funding of the two Broker/Dealer entities; JPMCC and JPMS and JPMorgan Chase & Co (Hold Co)
  • Maintain strong relationships with Treasury and LOB’s including periodic meetings with key client contacts
  • Manage the day to day operations including completion of periodic performance reviews, objective setting, cross training and process management
  • Point of escalation for day-to-day issue prioritization and escalation. The VP is expected to work closely with Treasury and LOB contacts to resolve critical issues and prioritize initiatives
  • Proactively work with the team to undergo process improvement initiatives driving increased productivity and cost savings. Work with the global cash management project management team to support key technology initiatives
  • Identify and manage key risk by addressing control gaps. This includes managing the completion of departmental Service Level Agreements, Risk Control Self Assessment and Resiliency planning
  • Create, analyze and maintain key processing metrics
  • Manage the specific supervisory controls as it relates to primary and secondary account funding and reporting for the Broker/Dealer entities JPMCC and JPMS. This will also include key control oversight for funding conducted out of EMEA and APAC
  • Oversee and approve monthly Reg W reporting ensuring timely and accurate execution
  • Oversight of daily funding execution specifically as it relates to highly sensitive funding requirements of JPMS Triparty settlements and JPMCC Prime Brokerage activity
  • Work with the team to ensure intra day projection variances are researched and accurate eliminating any impact on: regulatory, credit and liquidity risks for the Bank
84

Cash Management Coordinator Resume Examples & Samples

  • Compiles data to create the daily cash position for North America
  • Processes daily wires/ach, transfers, etc. for AP, payroll, interest, taxes, or debt repayments, as well as, cash movement for investments
  • Recording of all cash activity to the GL by creating and entering various journal entries. Assists with the journal entry reconciliation
  • Assists treasury operations with daily maintenance for the Kyriba treasury workstation
  • Provides data to Treasury colleagues to calculate a daily ST cash forecast
  • Assists with various Accounting and internal audit requests
  • Various special projects and ad hoc requests
  • 1-3 years related experience in treasury/finance required
  • Familiarity with bank systems and treasury workstations preferred
  • Basic knowledge of accounting required
  • It is the policy of PVH Corp. to ensure equal employment opportunities to all qualified persons without regard to race, gender, religion, age, national origin, citizenship status, disability, qualified veteran status, marital status, or sexual orientation
85

Cash Management Ops Specialist Resume Examples & Samples

  • Timely and proper execution of all outgoing and incoming payment orders
  • Manual entry of transactions, including client orders on currency conversion
  • Daily monitoring of compliance with the requirements of the procedures on manual payment instructions
  • Strict adherence to the performance of functions and the requirements of the internal rules and procedures (Compliance, measures to combat money laundering "know your customer" control on foreign exchange transactions, etc.)
  • Timely implementation of the necessary transactions in connection with the movement of funds Nostro accounts
  • Participation in the certification and verification of compliance with processes operating procedures, the adequacy of control on the instructions of the Bank's management and internal auditors. Preparation of necessary forms and reports on the revealed shortcomings and violations
  • Control over compliance with the requirements on daily registration documentation files
  • Daily and timely management control functionality form used in the department (DCFCs); strict implementation of the functions set out in these pages
  • Perform additional tasks of the Department management
  • Comply with all internal regulations, policies, rules, regulations, and requirements stipulated by normative legal acts of the Republic of Kazakhstan, and personal responsibility in the event of non-compliance
  • Know and follow the update : Citibank procedures, the procedures of the department in accordance with the legislation in the area of banking, payments law
  • A member of the department is committed to know, watch for updates and follow the additional processes / procedures / instructions from management by written and / or electronic communication
  • Promptly take tests, certification, training in accordance with the requirements for this position
  • Improve the knowledge, participation in the bank conducted trainings
  • Participate in meetings in the request of management, as well as representatives from other departments
  • Know and actively use banking operating system, to participate in the testing and implementation of both new products and the elimination of deficiencies
  • 2 + years experience in Funds Transfer operations
  • Knowledge of SWIFT formats ( 1.., 2.., 3.., 9..)
86

Senior Accountant, Cash Management Resume Examples & Samples

  • Interprets accounting data, analyzes reports and recommends action to be taken
  • Establishes and maintains property accounting records. Reviews the preparation of various financial statements, records and reports compiled by lower level accounting support personnel
  • Prepares financial reports analyzing data for management review
  • Calculates payments to regulatory authorities based on a review of contracts and regulations
  • Develops automated Oracle routines such as mass allocations and re-occurring journal entries
  • Prepares, researches outstanding items, and completes cash & accounts receivable reconciliations to ensure the accuracy and completeness of the General Ledger
  • Identifies and works to execute / implement process simplification, standardization, automation or other efficiency opportunities
  • Identifies opportunities for increasing the efficiency of our use of Oracle R/12 Cash Management & Oracle Accounts Receivable
  • Takes ownership for update of process documentation for our key business processes (including SOX documentation)
  • Proactive communication and follow up with field and headquarters personnel, regarding the timely resolution of outstanding billing exceptions and outstanding cash reconciling items
  • Hyperion SmartView knowledge preferred
  • Prior experience in a large, complex public-company accounting environment preferred
  • Sequel experience a plus, but not required
87

Executive Assistant to Global Head of Trade Finance & Cash Management Corporates Resume Examples & Samples

  • Working with the TF/CMC Executive Council members and their Business Managers on driving their respective strategic development area
  • Preparing the Head of the Business for internal and external meetings, Executive Committees, Board meetings, town halls as well as industry conferences
  • Organising TF/CMC Executive Council meetings and reviews, preparing presentations and decision papers
  • Assisting the Chief Operating Office (COO) with financial/strategic planning and ad hoc projects
  • Writing business briefing notes for Senior Management, including Deutsche Bank Board members, GTB Management, etc
  • Effectively liaising with different divisions within the bank including Marketing, Finance, COO’s, Corporate and Investment Banking, etc
  • Assisting in escalation management as and when required
  • Responding to ad hoc requests and managing one off projects as and when required
  • A strong background in Investment Banking/Consulting/Research/Project Management/ Commercial Banking
  • Strong analytical skills & deductive reasoning capabilities
  • The ability to assimilate a multitude of complex data points into clear management information
  • Strong financial modelling, Excel and Powerpoint skills
  • Comfortable with working independently and presenting/interacting with senior level management
  • A proactive approach to your work
  • The ability to drive virtual project teams
  • The ability to provide unbiased, independent and intellectually honest output and value execution over conceptual theory
  • The ability to work in a meritocratic environment and uphold your obligation to voice your opinion professionally, even when dissenting
88

Development & Execution Global Cash Management Corporates Resume Examples & Samples

  • Strategic design & execution of the Global Cash Management Corporates business function
  • Formulating and implementing transformational projects within Global Cash Management Corporates
  • Managing (controlling/monitoring) ongoing projects and their implementation
  • Defining and developing relevant Key Performance Indicators (KPIs) for all sub-areas in the Global Cash Management Corporates value chain
  • Analyze, diagnose and pre-empt challenges & opportunities as they arise during the year
  • Coordinating relevant topics between Product Management, Global Trade Finance Operations (GTFO), Implementation & Services, Insurance & FinTech client segments, as well as regional Cash Management Corporates (CMC)
  • Manage internal communications and provide transparency, connectivity and alignment to GTB and the rest of the bank as well as articulating a clear vision for Global Cash Management Corporates and its achievements
  • Extensive previous Commercial Banking / Investment Banking / Consulting experience (Client Facing with P&L responsibilities, Senior Management Support preferred)
  • Outstanding knowledge of Excel and PowerPoint
  • Extensive experience in strategy/project management
  • In-depth understanding of the Cash Management Corporates product range an advantage
  • A broad network within the bank
89

CIB Gtb-business Control Office Cash Management for Corporates Focus Resume Examples & Samples

  • Business Control Office – Cash Management for Corporates focus
  • Regional supervisory oversight of FX traders in in-scope countries / Setting trader mandates
  • Review of trading P&L and risk positions (daily)
  • Review of trading controls (daily) - review of CCA (cancels, corrections and amends) reports
  • Primary point of contact for regional support functions
  • Ownership of desks for Volcker conformance and reporting
  • Set up and ongoing ownership of required desk profiles - Setting trader mandates and limits
  • Review and sign-off of Business Review Meetings (monthly); Review metrics and regulatory reports; Chair BRM for each country to review with support functions
  • Point of contact for Compliance and Audit on relevant Volcker enquiries
  • University degree in a business, science or equivalent subject, preferably supplemented by insight into (operational) risk management and knowledge of financial products
  • Strong Non-Financial Risk Management skill sets, especially as regards supervision of a trading desk
  • Extensive experience in project management and policy development
  • Experience working with internal auditors and regulators
  • Ability to strategically and proactively identify, analyse and resolve problems
  • Keen awareness of deadlines, resilience under stress and highly self-motivated
  • Excellent analytical skills, an eye for detail and a precise working style
  • Confident communication and presentation skills, ideally with strong negotiating skills
  • Strong command of MS Office Suite, particularly Excel and PowerPoint
  • Deep knowledge of Cash Management for Corporates Products and supporting processes
  • Deep knowledge of FX products, controls and processes
90

Cash Management / Settlements Professional Resume Examples & Samples

  • Fluent English (written and spoken)
  • Active user of MS Office with focus on Excel (basic functions, work with large data files, filters, VLookUp, Pivot tables)
  • Good Organizational and communication skills
  • Reliable with sense for details
91

Cash Management Resume Examples & Samples

  • Payment to client, affiliate, exchange and stamp office
  • Posting of cash payment, fund receipt, soft-dollar and FX transaction
  • Client statement review & generation
  • Stamp duty, trading fee and levy payment and reporting to HK Exchange
  • Cash reconciliations between ledger and bank statements
  • Monthly client custody fee process
  • Corporate action processing support on ad-hoc basis or as required
92

Intraday Liquidity & Mature Cash Management Resume Examples & Samples

  • Lead and evolve Intraday Liquidity and Mature Cash Management application development teams across the Asia region, in Mumbai, Bangalore, Singapore
  • Partner with the Technical Directors of the initiatives to design and implement architectures to support required functionality and performance characteristics, spanning a number of technologies and existing applications
  • Identify and exploit opportunities for convergence (spanning data, process, technology and organisation) across the footprint and to leverage and develop these assets to support the strategic evolution of Banking Technology
  • Strong technical expertise with track record of hands-on delivery
  • Experienced people manager covering team building and leadership, cross-location oversight, recruitment and development
93

Cash Management Ops Specialist Resume Examples & Samples

  • Knowledge of Regulatory requirements and relevant laws on Payments
  • English - intermediate and above
  • Good written skills
  • Able to work both independently and within a team
  • Attentiveness and accuracy
94

Cash Management Operations Resume Examples & Samples

  • University graduate or above
  • Minimum 5 years experience in operations/settlements in Asia Pacific markets
  • Product knowledge in Asia Pacific Equity markets and Fixed Income Products e.g. Corporate Bonds, Government Bonds settlement
  • Good written and spoken English
  • Accurate typing and basic PC skills (i.e. Excel, Microsoft Word)
95

CCA Cash Management Product Manager Resume Examples & Samples

  • Overall responsibility and accountability for P&L Performance and Management, Product Profitability at the sub-product level
  • Interaction and thought leadership with country and regional Alco, Transfer Pricing Policy application, Interest Rate Pricing and Spread Optimization
  • Will work with country and regional stakeholders to ensure timely update and maintenance of Product Program/Payment System Risk Management (PSRM) Development & Approval Requests, Capability Grids, Network Scorecards, Key metrics definition and analysis, etc
  • Will work closely in partnership with country, cluster and regional stakeholders in the development and management of Strategic Partnerships/Vendors (Network Extensions, Armored Car, etc.)
  • Will support local product, operations, sales and coverage teams with training to ensure
  • Will work closely with country, cluster and regional stakeholders to ensure we provide high quality client experience: readiness & standards
  • Engages and supports strategic discussion and decision making around pricing & capabilities
  • Risk Management and Institutional Policies (Fraud, Operational, AML and Sanctions Screening, etc.)
  • Product and Services of Payments, Collections, Accounts Services, Internet Banking, in other
  • Product Launch Framework (PLF)
  • New Product Approval (NPA)
  • Project Management is a plus
  • People Management and Leadership through influence
  • Presentation Skills
  • Minimum 10 years of business experience in management of product banking
  • Thorough understanding of dynamic of products cash and extensive experience for developing and implementing effective solutions for corporate and commercial customer
  • Strong technical and analytical skills
  • Solid experience in design of conditions, requirements and policy for banking products and services
  • Demonstrated ability to proactively identify areas of vulnerability and risk related processes with TTS products and services and the development of effective solutions to close gaps
  • Ability to clarify with regulatory agencies or corporate clients, the requirements for the development of customized solutions or enhancements to existing products and services
  • Very good follow-through on problem resolution and result oriented
  • Communication Skills to make business presentations, training materials for internal and external customers
  • Proficient in use of MS Office
  • Effectively communicate with many distinct seniority levels throughout the business organizations: TTS, ICG, Banking, Markets, O&T, TTS Ops, Compliance, etc
  • Team player very self-motivated with high energy
  • Manage and prioritize workload with minimal supervision as well as escalate issues on time
  • Results oriented, team leader, negotiation skills
96

Cash Management Product Manager Resume Examples & Samples

  • Support Cash Management business in Citi DR & HT working in partnership with the TTS Head and the Caribbean and Latam Product Heads
  • Contribute with the creation and execution of a strategic plan with specific short, medium and long term goals
  • Manage specific products’ P&L. Monitors profitability of current products and supports strategies to optimize drivers
  • Responsible to guarantee a safe and controlled business environment
  • Will keep a competitive, controlled and profitable product offering that have a high impact in our clients
  • Interacts with middle and back office (Legal, Compliance, Fincon, Treasury and Ops & TI) to ensure achievement of objectives with the appropriate Risk/Return balance, as well as efficiency and profitability
  • Facilitates cross-functional efforts to ensure product terms adhere to the Citi policies (Product Program-PAP Guidelines, New Product Requirements – NPA, NPAC, Information Security, and Third Party Risk) and to the applicable regulations within its framework
  • Experience in product/project management and overall business acumen
  • General understanding of a Corporate Client treasury business
  • General knowledge of a product P&L (Profit & Loss Statement)
  • Proficiency in identifying, exploiting and suggesting business cases for cross-selling opportunities
  • Strong planning skills and demonstrated execution
  • Demonstrated leadership through the ability to motivate others and provide a strategic/integrated vision
  • Experience in banking or product management in financial industry (+/-3y)
  • Experience in Management Consulting (+/-3y)
  • Influencing
  • Multi-Tasking
  • Structured thinking
  • Relationship driven
  • Leadership
  • Strong organization and discipline skills
97

Analyst, Cash Management Resume Examples & Samples

  • Execute short-term borrowing transactions including obtaining and maintaining sufficient short-term financing authority with applicable regulatory bodies, arranging credit facilities, the issuance and recording of commercial paper and the issuance of letters of credit and the related reporting and payment of LC charges allocated to operating companies
  • Ensures compliance with debt covenants, internal controls and procedures, leads SOX-compliance efforts, provides substantial input in the development of new cash-related business processes
  • Provide key contributions to project efforts to develop and utilize new technologies, including the selection of new banking partners and the updating of banking data residing in cash-related systems
  • Perform analysis of the performance of cash management service providers including the analysis of bank fees; performs high-level compilations, preparation and analysis of various statistical and analytical data, budgets, reports, statements, studies or projects relating to the management of cash
  • Recommend short-term investment guidelines, purchase and sale of short-term investments, including the sale of stock securities and monitor investment performance and compliance
98

Bacc-cash Management Back Office Analyst Resume Examples & Samples

  • Execute Business As Usual operating routines according to standard operating procedures defined
  • Escalation of exceptions/discrepancies
  • Generate periodic reports/metrics as required
  • Suggest process improvements and efficiencies in the process
  • Create test plan and organize in HP Application Lifecycle Management tool
  • Execute test scripts to validate new system code and/or change in code
  • Open defects containing test evidences to track system issues
  • Manage defects opened to verify when the issue is fixed
  • Bachelor´s degree
  • Excellent communication skills – both written and verbal
  • Self Starter able to work independently as part of an integrated team
  • Able to meet deadlines and prioritize; work under pressure
  • Critical thinker with analytical and problem-solving skills
  • Flexibility to assume different functions and responsibilities
99

Senior Rep, Cash Management Payoff Processing Resume Examples & Samples

  • Minimum of two (2) years of experience in the mortgage industry required
  • Experience in mortgage payment/payoff processing preferred
  • Operates effectively in a team environment as well as independently
  • 10 Key data entry
  • Proficient with Microsoft Office products (e.g. Word, Excel, Outlook, etc.)
100

Cash Management Service Sales Specialist Resume Examples & Samples

  • Cash Management or Treasury services experience/knowledge
  • Working knowledge of corporate sales in the cash management industry
  • Experience in creating presentation materials and presenting to various audiences
  • Must speak, read and write both English and Japanese on a business level. Spanish a plus
  • Knowledge of cash management service and products and general banking services and operations
  • Ability to work under pressure and meet time critical deadlines
  • Proficiency in MS office and Internet applications
  • Demonstrate cultural sensitivity and awareness
  • This is a largely sedentary role; however, some filing is required. This would require the ability to lift files, open filing cabinets and bend or stand on a stool as necessary
  • Traveling may be required. 
101

Cash Management Service Sales Specialist Resume Examples & Samples

  • Cash Management or Treasury services experience/knowledge preferred
  • Working knowledge of corporate sales in the cash management industry preferred
  • BS/BA required or equivalent experience
  • Excellent written and verbal communication skills in English required
  • Spanish and/or Japanese written and verbal communication skills is a plus, but not a requirement
102

Corporate Treasury Cash Management Lead Resume Examples & Samples

  • Manages corporate liquidity for the bank accounts across 23 of Vanguard 25 corporate entities world wide. Manages and oversees the day-to-day Corporate Treasury Cash Management operation and ensures all domestic and international accounts are funded accurately and timely in compliance with company policies and Sarbanes-Oxley regulation, while focusing on operational excellence. Independently handles and resolves issues identified in daily processes
  • Effectively manages all aspects of Vanguard's external and internal corporate debt. Compiling cash forecasts and making proposals to executive management for new debt issuances. Liaises with banking partners and noteholders to ensure all aspects of Vanguard's third party corporate debt are adhered to flawlessly. Additionally, this role will conduct research and perform external market analysis on the current debt markets. Per this analysis, they will make proposals to Senior Management for updates and advancements to existing debt (both internal and external) and to ensure compliance with tax and other regulations
  • Effectively leads the global implementation of Vanguard's cash pooling initiative, which is the cornerstone to Vanguard's global liquidity model. The cash pooling initiative encompasses ten entities and is regionalized with two hubs; one in the UK and the second in Singapore with two different banking partners
  • Assesses current department processes and proposes / implements changes to strengthen internal controls, enhances efficiency and maximizes the usage of the Kyriba Treasury system. Considers impacts of procedural changes on key stakeholders which include: Corporate Controller's Group, Fund Financial Service, Bank Strategy and Relations along with the CFS Financial Service Teams. Manages to established department metrics, performance measures, and crew-level metrics using VUE and six sigma methodologies
  • Supports Vanguard's Unmatchable Excellence efforts with an emphasis on minimizing business risks. Manages all processing activity according to established controls, identifies trends and implements action plans to ensure that policy adherence and risk mitigation is attained. Identifies and implements additional controls to ensure appropriate management oversight
  • Maintains a highly productive relationship with internal and external domestic and international business partners that include but are not limited to: Corporate Controller's group, Fund Financial Services and Vanguard's Global corporate entities. Supports relationships between Vanguard and its global banking partners through regular interaction with representatives to support Vanguard's needs and resolves issues
  • Vigorously maintains detailed policies and procedure documents for the Corporate Treasury Cash Management function. Conducts ad hoc testing of procedure documents and update reviews with Management along with an annual sign-off of policies by Vanguard's Corporate Chief Financial Officer
  • Acts as subject matter expert on all business processes and projects. Ensures Business Continuity for the Corporate Treasury function by cross training to develop own working knowledge to effectively execute all core Corporate Treasury Payment functions. These include both payment processing in both Kyriba and bank software along with fund money movements
  • Leads efforts to define system needs, identify priorities, and recommend solutions on assigned initiatives. Independently manages the execution and direction of the initiatives to ensure requirements are implemented accordingly
  • Educates broader team on industry advancements to optimize Vanguard’s corporate cash management function and ensures effective controls are continually enhanced to effectively mitigate treasury risk in the operating environment
  • An undergraduate degree required, accounting major preferred. Master's degree preferred
  • Minimum five years general experience, inclusive of a minimum of two years of experience in financial services and three years accounting/audit experience
  • Prior fund accounting or banking experience desirable
  • CPA preferred. CTA preferred
  • Detail and goal oriented
  • Demonstrated decision making and leadership skills including the ability to theorize strategically
  • Excellent communication skills - including verbal, written and presentation abilities
103

Cash Management Product Consultant Resume Examples & Samples

  • With at least 3 years’ banking experience
  • Fluency in Mandarin and English(both written and spoken)
  • Well versed in MS Office applications(Word, Excel, PowerPoint is a must)
104

Senior Cash Management Product Consultant Resume Examples & Samples

  • Solid product and sales knowledge with at least 5 years experience in relevant roles
  • Self-starter and good team player
  • Strong communication skills and fluent oral and written English
105

Head of Middle Office, Pcm-cash Management Resume Examples & Samples

  • At least 5 years’ banking experience at executive level
  • Proven experience as team leader/manager
  • Solid product knowledge with at least 3 year experience in relevant roles
106

Accountant, Cash Management Resume Examples & Samples

  • Performs account analyses and reconciles selected expense and revenue accounts
  • Reviews and analyses lease contracts, land purchase agreements, and tracks lease terms and conditions
  • Prepares assigned recurring and non-recurring journal entries for the month-end closing process
  • Answers questions from investors concerning variances on performance reports or directs questions to the appropriate individual(s)
  • Performs analytical reviews, research, and other related duties independently
  • Establishes and maintains billing and aging of accounts receivable process
  • Maintains filing system for lease documents, financials, and tax correspondence
107

Accountant, CHS Cash Management Resume Examples & Samples

  • Explains accounting information to non-accountants in an effective manner and interacts with research team members
  • Works independently or with teammates with minimal supervision. Possesses the ability to seek out ways to improve processes and measure inefficiencies
  • Reviews and understands government circulars and regulations related to research grants and contracts to ensure accuracy and compliance
  • Reviews and understands assigned awards to ensure adherence to reporting schedules, requirements, and requests
  • Identifies Federal and State grants that are required to be reported in accordance with the OMB Circular A-133 as part of the CHS annual audit
  • Ensures maximum utilization of federal and state grant funding
  • Creates and maintains reconciliation spreadsheets of general ledger activities
  • Prepares A-133 audit folders for assigned awards and assists as needed with annual audit
108

Accountant, Cash Management Resume Examples & Samples

  • Prepares daily cash forecast report
  • Reconciles investment statements monthly
  • Prepares assigned recurring and non-recurring journal entries for the month-end closing process related to investment gains, losses, and fees
  • Initiates cash transfers for various investment contributions
  • Prepare investment summary reports for multiple entities on a semi-annual basis
  • Analyzes issues related to financial statement presentation and proper implementation of GAAP
  • Works accurately and efficiently in a fast-paced environment with many assignments subject to critical deadlines that must be achieved
109

Cash Management Assistant Resume Examples & Samples

  • Assist with
  • Minimum of three years of experience in a professional environment
  • Knowledge of cash management processes and controls
  • Commitment to the highest ethical standards
  • Detail orientation and accuracy in execution
  • Ability to think creatively and independently develop solutions to problems
  • Extremely organized multi-tasker
  • Team player who works well both independently and in a team environment
  • Proficient in the use of banking systems including security administration
110

Manager, Treasury Services Cash Management Resume Examples & Samples

  • Support domestic & international cash management functions, including cash positioning, intercompany loan and foreign exchange activities for holding companies
  • Support the issuance of commercial paper and short term investment activities
  • Support quarterly and annual financial reporting requirements
  • Using ACE, maintain and develop standard work for cash management and continuously improve related processes
  • Responsible for testing Sarbanes-Oxley control objectives for various Treasury functions to ensure activities are authorized and performed per applicable resolutions, delegations, and policies
  • Work with cross-functional teams to implement special transactions
  • Assisting business units with meeting their trade finance requirements as well as supporting the management and use of electronic banking systems for online issuance of letters of credit by business unit personnel
  • Maintain bank account outlines, electronic payment approvers and supporting documentation of holding companies managed
  • Assist with cash pool and holding company internal/external documentation as necessary
  • Support the approval process for the opening and closing of bank accounts as per standard work
  • Support the project team on cash mobilization initiatives and passport processes
  • Responsible for providing treasury support to cash pool participants and advising operations on appropriate cash management services and best practices
  • Advise operations on UTC Treasury policies and best practices
111

Assistant VP-cash Management Resume Examples & Samples

  • Workflow Management- The AVP is responsible for planning and directing work processes within the scope of company practices and guidelines. The AVP is expected to analyze daily/weekly metrics and reports to ensure proper management of team functions
  • Department Management - The AVP is responsible for the overall management of the department which includes budget management, resource planning, execution of strategic initiatives and hiring, training, and motivating of staff in multiple geographic locations. The AVP will provide ongoing support, coaching, feedback and developmental opportunities in order to engage staff at all levels and help them be more effective and successful
  • Risk Management - Supervise and enforce various firm and regulatory risk based reports to ensure daily production meets quality standards and is in line with department policies and procedures. The AVP will identify trends in order to recommend and implement strategies and tactics to enhance production and risk based controls
  • 30 %
  • Project Management –The AVP ensure all project plans associated with Cash Management are implemented and integrated appropriately
  • 20 %
  • Microsoft Access
  • Microsoft Outlook
  • BETA – Books and Records
112

Cash Management & Investments Analyst Resume Examples & Samples

  • Knowledge of banking, Treasury management systems, regulatory environments and financial markets
  • Ability to capture issues quickly, assess any risk exposures and make decisions that involve high transactional counts and value amounts
  • Ability to work well under sensitive deadlines in a high-pressure environment while being able to prioritize core business functions
  • Experience in developing and maintaining good working relations with other departments, as well as with banks and investment advisors
  • BA/BS degree required, Advanced degree preferred in Business, Finance, Accounting or equivalent discipline
  • 5+ years of related industry experience in finance, treasury, cash management, or banking
  • 5+ years of experience with Cash Management practices and principles, specifically for EFT, ACH, and check processing
  • Excellent written and verbal communication skills. Proficient in using Excel, Word, Access, PowerPoint, and Windows
113

Associate Prime Services Operations Cash Management Resume Examples & Samples

  • Accountable for funding for all transactions performed by the business line
  • Working with various internal teams such as trade processing, Prematching, settlements and margin to process cash funding in over 10 different currencies
  • Respond to and resolve client wires requests on a timely manner
  • Perform root cause analysis for their respective clients to increase straight through process and reduce client inquiries
  • Establish and maintain relationships with high profile hedge fund clients
  • Work as part of the global team performing follow the sun hand offs to ensure a smooth global coverage of cash activity for global clients
  • Partner with account management teams to help change client behavior where required to improve processes
  • Partner with technology team to help identify internal and external facing technology improvement opportunities
  • High level of client service focus
  • Monitoring & Adhere to daily work flow queues
  • Provide operations subject matter expertise to clients where required
  • Time management skills required to meet the internal and external deadlines/cutoffs
  • Strong business knowledge is preferred / previous experience working in a Prime Brokerage is a plus
  • Strong knowledge of FX and Cash Wires management workflow
  • Knowledge of SWIFT is a plus
  • Knowledge of Global Markets and Settlement practices/procedures
  • Excellent verbal and written communication skills and able to communicate with all levels of the business and technical parts of the organization
  • Operate effectively in a fast paced environment with tight deadlines
  • Strong MS Office Skills (especially Excel)
  • Fluent English – written and spoken – is mandatory
114

Order To Cash-management Trainee Resume Examples & Samples

  • Validating report requests for missing information/clarification,
  • Generating KPI or other metrics reports
  • Dashboard preparing
  • Creating customer related reports
  • Receiving report requests and validating for missing information
  • Creating/ generating system driven reports for Sales
  • Deliver and maintain high customer satisfaction ratings by processing transactions accurately and meeting agreed service levels with a focus on Operational metrics and KPIs for process specific area
  • Perform customer request/problem identification and follow defined incident notification and escalation procedures
  • Identify risks associated with execution of the assigned tasks within the business process and escalate / mitigate / resolve as required
  • Understand and comply with internal controls, regulations and security requirements linked to the business process
  • Accounting knowledge – intermediate level
  • Similar experience (2-3 years)
  • Work experience with and ERP system (SAP advantage)
  • University graduate (Economic studies are an advantage)
115

Assistant Manager Loans & Cash Management Resume Examples & Samples

  • Maintain the Management Control Program for designated accounting systems and generally ensure all processing related to those systems conforms to Bank procedures. This includes the morning review of the systems under his/her jurisdiction, checking and approving transactions processed by subordinate staff, and ensuring al operating errors are resolved
  • Ensure service provided to the Branches is of a consistently high quality by ensuring that staff are knowledgeable and well trained. Ensure that interaction with Branches is responsive and accurate and that operational issues are escalated as required. Provide guidance to Branches when clarification of processes is required or to respond to customer enquiries
  • Contribute to the efficiency of the BSC by ensuring measures/corrective action is taken/recommended which will prevent recurrence of errors or problem situations
  • Utilize and develop subordinate staff in order to fulfill the above accountabilities and contribute to the attainment of the short and long term objectives of the BSC and the Bank
116

Cash Management Product Manager Junior Resume Examples & Samples

  • Support Cash Management business in Citi HN working in partnership with the Cash Head and the Caribbean and Latam Product Heads
  • Responsible for the customer satisfaction E2E from Client Acquisition, going through Onboarding, Transaction Execution and Service
  • Will interact with the sales team to ensure they are well trained and proficient in suite of Cash Management Products and to support in the development and sales of complex product solutions for specific customers
  • Ability to assist in the design, sale and delivery of integrated value-added financial services
  • Competence in assessing new opportunities/prospecting Critical thinking and ability to entail creative problem solving strategies
  • Strong ability to build solid and valuable relationships across the client's and Citi's organization, influence key stakeholders and to negotiate with key decision makers
  • Experience in banking or product management in financial industry (+/-2y)
  • College Degree on Business, Marketing, Finance or related careers. Bachelor, Master will be a plus
  • Strong communication (Spanish – English) both writing and speaking
  • Strong leadership and people skills to manage initiatives within Citi matrix organization
  • Windows Office
117

Cash Management Product Manager Resume Examples & Samples

  • Engage with all team members, partners & stakeholders to facilitate smooth functioning in performing the product management role
  • Assist Head of Transaction Banking Thailand on adhoc basis
  • Direct contribution to BNP Paribas Operational Permanent Control Framework
118

Senior Analyst, Cash Management Resume Examples & Samples

  • Manage the daily liquidity for Exelon and its subsidiaries, preparing daily cash positioning utilizing the treasury workstation and banking systems, executing required funding movements and reconciling cash inflows and outflows
  • Access sources of liquidity for operating entities by executing short-term borrowing transactions including the issuance of commercial paper, money pooling and the issuance of letters of credit. Optimize excess cash balances by investing in eligible securities under the company investment policy
  • Participate in key projects, initiatives and analyses, such as integration of new acquisitions, liquidity analysis, implementation of new technologies and services and working capital initiatives
  • Coordinate cash forecasting in conjunction with operating companies’ business plans and expected cash flows, working with internal business partners including FP&A, tax, payroll and A/P
  • Ensure compliance with debt covenants, internal controls and procedures, support or lead SOX-compliance efforts, provide substantial input in the development of new cash-related business processes
119

AVP, Cash Management Resume Examples & Samples

  • Provide expertise and oversee the cash management process encompassing the cash transfers, reconciliation of cash and holdings to custodial banks, investment cash flow forecasting, cash balance monitoring, and cash and custody account openings/closings
  • In collaboration with the Fund Services team, develop and maintain strong governance over providers of client record-keeping; ensure risk-focused management reporting and risk mitigation plans over service providers are effective
  • Oversee the work of the team to ensure that the information provided is up to date, accurate and delivered on time as well as to ensure that the group's performance standards are met. Report and escalate problems with performance to senior management
  • Build and maintain relationships with our business partners, and assume the key business contact role with providers of system, client recordkeeping and custody services
  • Work closely with all stakeholders to continuously evaluate and develop systems, practices and controls that increase process efficiency and/or the quality of the information
  • Ensure that policies and procedures are documented, updated and work globally to standardize practices to the extent feasible
  • Drive and or actively support projects, while also ensuring that the day to day responsibilities are successfully completed
  • Offer business expertise and support new business opportunities
120

Senior Consultant, Cash Management, HFS Resume Examples & Samples

  • An entrepreneurial spirit, someone who is willing to build something from the ground up
  • Experience working with system development testing/verifying accuracy of reports
  • Awareness of system work-flows; and related application dependencies
  • Excellent communication skills; both written and verbal
  • Experience with excel modeling; if/then statements, V-lookups etc
  • 3-5 years of experience; working within a Treasury related functions is a plus
  • Familiarity with financial instruments and an understanding of basic accounting principles and procedures
121

Cash Management Operations Resume Examples & Samples

  • Financial payments
  • Reconciliation of bank accounts
  • Control and confirmation of deals
  • Problem solving of various character
  • Monthly closing
  • Be accurate and orderly
  • Flexible and experienced in managing high urgency tasks and adjusting to shifting priorities
  • Be open and willing to work in pre-defined processes
  • A willingness to improve existing processes through new thinking
122

Senior Analyst, Liquidity & Cash Management Resume Examples & Samples

  • Monitor and report liquidity position for Canadian Retail and Wealth and the consolidated bank against the established policy requirements
  • Conduct liquidity assumptions review and liquidity position attribution analysis
  • Support the on-going operations of the Bank's liquidity management governance bodies
  • Work closely with TBSM front office, investments, cash management, and Wholesale Bank Treasury teams to ensure liquidity considerations are adequately communicated and reflected in these related activities
  • Implement and manage global liquidity stress testing process, review and update scenarios and assumptions and summarize key observations for management decisions
  • Review, update, and manage the Bank's liquidity contingency funding plan and conduct periodical testing
  • Assist Board and management liquidity policy update and review and analyze regional liquidity policies
  • Support bank-wide liquidity initiatives, including the Bank's recovery/resolution planning, enterprise-wide stress testing, and liquidity roadshows to external agencies as required
  • Monitor and ensure that appropriate policies, procedures and accountabilities are documented and followed for internal and external audit purposes
123

Cash Management Supervisor Resume Examples & Samples

  • Five + years of demonstrated increase in responsibility with prior supervisory/ management experience required
  • Previous management experience in a fast paced high volume transactional environment preferred
  • Previous experience in a financial services/banking environment preferred
  • Experience with assisting with new client launches preferred
  • Intermediate proficiency in PC/Windows related software (e.g. MSWord Excel) required
  • Strong interpersonal and negotiation skills
  • Excellent coaching mentoring team building skills
  • Must have strong problem solving/analytical skills
  • Sales orientated self-starter with strong interpersonal and negotiating skills
  • Excellent listening, verbal, and written communication skills
  • 5-10% potentially during client launches
124

Senior Accountant, Cash Management Resume Examples & Samples

  • Bank account management
  • Liaise with our financial institutions in managing our bank accounts as well as the production loans
  • Support cash forecasting process
  • Analyze the impact of foreign currency
  • Process wire payments, ACH and the funding of Productions
  • Work with A/R in identifying and categorizing cash by customer and line of business
  • Management of credit facility & debt securitization
  • Contribute to the global cash management strategy
  • Evaluate new banking products and services
  • Month-end accounting responsibilities
  • Identify and recommend process improvements in the treasury area
  • Special duties as assigned
125

Cash Management Product Risk Manager Resume Examples & Samples

  • Approving contents of assigned Local Country Addendums to the Global Product Programs for adequacy of risk identification
  • Approving Deal Reviews/Transaction Level Product Exception for non-standard offerings
  • Monitoring Key Operational Risk Operational Loss events including Errors, Frauds, Information Security events, Potential loss events etc. and escalate trends
  • Assisting TTS teams in audit preparation and contribute to IBAM improvement
  • New Product Advisory
  • 8+ years of work experience in banking industry particularly in the area of Cash Management Products and Processes and/or Risks and Controls
  • Understanding of Operational Risks concepts and principles
  • Familiarity of Credit Risk will be an advantage
  • Skills
  • Ability to identify and manage Cash Management Product and Process Risks
  • Analytical skills to analyze data sets and identify trends
  • Graduate degree in Business/Finance/Accounting/Economics would be preferred
126

VP Cash Management Resume Examples & Samples

  • Explain the Business Plan and other performance metrics to direct reports, indicating how the team success contributes to the
  • Review resources and current resource allocation with Vice President, Commercial (VPC) on an ongoing basis to ensure proper Cash Management Specialist (CMS) alignment to CAM portfolios
  • VPC and Vice President, Cash Management must collaborate to develop a deal team framework within their territories
  • Ensure all resource allocation recommendations are provided to the Regional Vice President (or SVP) for approval
  • Develop succession plan ensuring availability of qualified employees to assume key positions and escalate identified gaps to Regional Vice President (or SVP as appropriate)
  • Manage processes with Senior Manager, Support and Treasury Payments and Solutions (if applicable) to ensure effective and efficient customer service and processes
  • Work with the CAM and VPC to leverage sales opportunities to improve share of wallet and acquire new customers (as appropriate)
  • Share best practices with other VPCs, Senior Manager, Support, and Area colleagues to continually improve overall sales and service performance
  • Establish strong relationships with Senior Manager, Support to ensure that CMA’s have sufficient context and established service
127

MYS Ctsm Pg-cash Management Product Risk Manager Resume Examples & Samples

  • Conducting product deep dives based on monitoring results and identify root cause and review adequacy of corrective action
  • MCA and KOR/KRI challenges based on product expertise
  • 8+ years of work experience in banking industry particularly in the area of Cash Management Products and Processes and/or Risks and Controls . Understanding of Operational Risks concepts and principles. Familiarity of Credit Risk will be an advantage
  • Ability to identify and manage Cash Management Product and Process Risks. Analytical skills to analyze data sets and identify trends
128

Financial Services Manager Cash Management Resume Examples & Samples

  • Oversee daily operations of cash management departments including processing all cash receipts for daily deposit to maximize investment income and safeguard assets
  • Posting cash receipts to the proper receivable or income account
  • Overseeing daily cash positioning for investment withdrawal/deposit decisions
  • Coordinates and plans month-end responsibilities for department
  • Reviews and approves account reconciliations and ensures such are prepared timely. Ensures CHS records and financial statements are maintained in accordance with generally accepted accounting principles
  • Consolidation and systemization for all treasury related functions for newly acquired or affiliated CHS affiliates
  • Appropriate re-engineering and automation of all treasury-related operations in order to reduce cost and improve efficiency
  • Insure that appropriate internal controls and compliance procedures exist and are functioning properly for areas of responsibility
  • Maintains departmental policy and procedures manual and examine departmental policies and procedures making recommendations for improvements
  • Answers questions from staff members and management, works to maintain a positive, pleasant work environment for department and ensures that the concerns of the staff are addressed to the limit of their responsibility
  • Performs analytical review, research and other related duties independently or as requested by Director
  • Plans departmental workload and manages such that all reports, projects, etc., are completed timely and efficiently
  • Responsible for review and evaluation of staff in accordance with CHS policies
  • Oversee management of bank fees to ensure charges are appropriate, services are required, and accounts no longer needed are closed on a timely basis
  • Remains current on new banking technologies in order to ensure use of best practices
129

Accountant, Cash Management Resume Examples & Samples

  • Provides limited amount of direction and guidance on specific projects and tasks performed by Accountant I, Accounting Assistant, and Staff Accountant
  • Reviews data received from other departments for completeness and accuracy
  • Performs account analysis and reconciliations
  • Answers questions from department heads concerning variances on performance reports or directs questions to the appropriate individual
  • Performs reviews, analyses, research and other related duties independently, or as requested by the department manager
  • Prepares financial statements and budgets, including support documentation
  • Evaluates accounting systems and procedures and suggests ways to improve output and efficiency
130

Cash Management Business Analyst Resume Examples & Samples

  • Clearly understand client requirements and provide an early identification of potential issues,
  • Contribute to the analysis and drafting of business requirements and functional specifications,
  • Writing of Business Test Cases and conducting the SIT & UAT cycles
  • Strong background of Collections and reporting platforms with a good knowledge of End to End flows
  • Knowledge of Core banking systems
  • Knowledge of various clearing systems and different standard payment types like RTGS,NEFT, IMPS, Cheques, LVP, Cross-Border TTs, etc
  • Clear organization and ability to manage projects
  • Service-oriented attitude and strong commitment to client satisfaction
  • Interpersonal skills, ability to consolidate action plans and report progress status
  • Capable of adapting to a new environment and to work under pressure towards tight deadlines
  • Analytical, lateral thinker and result-oriented person
  • Team player demonstrating self-initiative when necessary
  • Around 5-7 years overall experience
  • 3-5 years minimum experience of working/implementing E-banking systems, Collections platforms, development across various cash management applications
  • Working Knowledge of at least one Database (Oracle/MS SQL) and basic UNIX is a plus
  • Good fluency in English
  • Having graduated from a top University is a plus
  • Knowledge of any standard industry payment and collections platforms is a plus
131

Procurement & Cash Management Director Resume Examples & Samples

  • Set and manage P2P OTC tower direction and determine priorities and goals while ensuring smooth delivery of day-to-day operations (e.g. payables transactions; reconcile, validate and verify accounts; purchases, reporting and analysis; and resolution of vendor inquiries, credit exposure limits and review; customer contracts; order fulfilment support; and invoicing)
  • Develop annual budgets as well as look at long-term (approximately 2-3 years in advance) spending and resourcing plans for multiple process and operations within the Procure to Pay tower
  • Own accountability and drive the development, management and continuous improvement of the end-to-end P2P and OTC processes
  • Drive service delivery performance against agreed service levels and key management metrics and goals
  • Bachelor’s Degree in Management, Business, Finance, Accounting, or related field
  • Strong understanding of general accounting practices
  • Minimum of 10 - 12 years of experience managing a client-service oriented function with experience in management of large corporate initiatives/projects, strategic thinking, relationship management, financial budgets and processes and recruiting, developing, coaching and monitoring employees
  • Minimum of 7 years of direct process management experience including best practices, technologies, processes, procedures and tools
  • Minimum of 10 years experience in leading, developing and coaching teams
  • Shared service centre experience
132

Cash Management Intern Resume Examples & Samples

  • Independent verification of new Cargill’s bank account, i.e. to make a phone call to bank to confirm the account details when it is opened
  • Consolidate information to complete cash management reports
  • Update signature card in banks as per the change of account signatories - e.g. to work with OPS to prepare signature cards for some bank accounts and submit at bank counter for processing
  • Attendance: at least 4/5 days per week
  • Duration: at least 3 months
  • Finance background is a plus
  • Proactive attitude
  • Basic written and oral communication skills in mandarin and English
  • Chariness and patience, High accountability
133

System Director SBO Cash Management Resume Examples & Samples

  • Coordinate and direct all activities of the system central business office. This includes the functions of billing, collecting, and posting. This requires effective
  • Experience in a business office environment
  • Must be able to communicate effectively in English (Verbal/Written)
  • Experience in a healthcare environment preferred
  • Demonstrated knowledge of and experience with large mainframe computerized information systems preferred
134

SAP Treasury & Cash Management Consultant Resume Examples & Samples

  • Extensive SAP Treasury & Cash Management experience – 6+ years required
  • Treasury & Cash Management business knowledge
  • SAP Treasury & Cash Management configuration knowledge
  • Experience with these Treasury modules is a plus
  • Market Risk Analyser
  • Credit Risk Analyser
  • Portfolio Analyser
  • E5 Solutions
  • Ability to enhance user adoption of Treasury & Cash Management modules through training, documentation and knowledge of best practices
  • Excellent process documentation skills
  • Strong communication skills - oral and written
  • Ability to develop, document and deliver training as appropriate for the user audience
  • SAP General Ledger experience preferred
  • Self-starter/proactive
  • Intellectually curious
  • Innovative with a focus on continuous process improvement
  • Practices active listening
  • Able to manage multiple complex tasks
  • Team player, collaborative
  • Works well with any level of Employee (job position or experience level)
  • Grace under pressure - works well under stress
  • Has the ability to influence others
  • Maintains an appropriate sense of urgency - deadlines and production support
  • Ability to use a computer with speed and accuracy sufficient to meet the demands of the job
  • Consistently demonstrates integrity in all actions and decisions
  • Must be able to translate broad Company objectives into specific actionable items associated with designated business processes
  • Masters and maintains understanding of end to end business processes
  • Strong oral and written communication skills; strong meeting facilitation and presentation skills
  • Very good time management and organizational skills, with the ability to manage detailed, concurrent tasks
  • Ability to successfully meet deadlines with quality results while managing risk
  • Consistently displays a sense of urgency
  • Experience with SAP configuration and widely accepted practices for implementing SAP configuration and development objects
  • Experience with requirements gathering techniques and preparation of requirements documents
  • Accurate and complete testing and documentation skills
  • Ability to effectively manage projects from initiation through to implementation using SWA preferred methods
  • Identifies project risks and proactively pursues mitigation strategy
  • Proficiency in progress reporting methods and techniques and risk management methods and techniques
  • Ability to see beyond today’s activities and proactively plan for the future, aligning with Company objectives
  • Strong analytical and problem solving skills and consistent demonstrated use of analytical and problem solving skills
  • Consistently demonstrates strong ability to think strategically, not just the limited scope of one aspect of a project
  • Demonstrated ability to assemble and organize data and lead a fact-based approach to drive an optimal solution for the Company
  • Demonstrates dedicated, proactive Customer Service to all Internal and External Customers
  • Willing to take responsibility for finding solutions, even if problems are not in sphere of influence
  • Deep knowledge of designated core business processes
  • Working knowledge of SOX and internal controls compliance
  • Positively influences the behavior of others and works effectively as part of a Team
  • Proficiency in MS Outlook, Excel, Word & PowerPoint.Search Jobs US
135

Cash Management Coordinator Resume Examples & Samples

  • High school diploma or general education degree (GED) plus a minimum of one year administrative or banking experience. Associates or Bachelor's degree preferred
  • Ability to comprehend and interpret instructions, short correspondence, and memos and ask clarifying questions to ensure understanding
  • Ability to respond to common inquiries or complaints from clients, co-workers, and/or supervisor
  • Requires basic knowledge of financial terms and principles. Ability to calculate simple figures such as percentages
  • Ability to understand and carry out general instructions in standard situations
  • Ability to solve problems in standard situations
  • Basic knowledge of computer software and hardware (i.e. Microsoft Office Suite Products)
136

Cash Management Accountant Resume Examples & Samples

  • Bachelor’s degree in Business or Accounting (additional years of accounting experience may offset degree requirement)
  • Up to 2 years of accounting experience
  • Understanding of GAAP – Generally Accepted Accounting Principles
  • Proficient in MS Excel to include lookup, pivot tables and other complex Excel functions?
  • Experience with SAP
  • Agriculture industry background or knowledge
137

Mgr, Cash Management Resume Examples & Samples

  • Lead execution of operating plan and resources
  • Support operating strategy as relates to recruitment and training, workflow, process efficiency and associated controls
  • Monitor multiple payment banking vendors related to payment processing. This includes banks as well as payment card processors, billing system vendors and returned payment recovery specialists. Manager must be aware of and monitor contract adherence, performance management, legal and regulatory compliance and customer dispute support
  • Serves as escalation point and ensures the resolution of major payment issues through the management of key personnel and liaison with the relevant teams and stakeholders
  • Oversee staff performance ensuring customer disputes and escalations are resolved in a timely and accurate manner. This includes resolution of lockbox exceptions, Care and Payment center generated tickets and corporate escalations
  • Ensure accurate and timely processing of daily automated and manual refund processing ensuring integrity of process and strict adherence to all establish audit and control measure for both internal and external audit authorities
  • Continuously pursue cost effective technology solutions that present fast and accurate transaction processing through automated means
  • Ensure compliance with payment industry rules and regulations
138

Cash Management Representatives Resume Examples & Samples

  • Bank Correction Processing Including Response/Resolution to Items Listed on the Weekly “Outstanding Cash Issues” spreadsheet from the ACE
  • Interface effectively with Banking Services staff, and all other company personnel
  • Maintain tracking reports using Excel and/or Access on assigned department processes
  • Cross-train other employees on assigned job process
  • Perform special projects as required
139

Senior Account Manager, Cash Management Resume Examples & Samples

  • Minimum 4 – 6 years banking experience
  • Excellent knowledge of all Bank and subsidiaries deposit products & services
  • Above average analytical & problem solving skills
  • Strong communication and presentation skills, both verbal and written
  • Intermediate knowledge of PowerPoint
  • Good sales and marketing abilities
  • Self-starter with a strong sense of team work, who proactively seeks out business opportunities and is willing to take accountability for the success of the branch Deposit and Cash Management business
  • The position has no direct reports
  • The position is responsible for a portfolio of deposit based non-borrowing clients
  • “B” signing authority
  • Incumbent is responsible to understand client/prospect timelines relating to inquiries/RFPs/etc. and responding in a timely manner, including meeting tight deadlines/dealing with time pressures if required
  • All Bank and regulatory policies/requirements are to be followed with recommendations to branch management and/or head office where gaps may exist. It is expected that suggestions will be submitted where opportunities to improve profitability or operational processes are identified
  • Assist in the development of both a deposit gathering strategy and Cash Management Strategy for the Branch in the field of Public Service Entities (Cities, Municipalities, Public Companies, Non-Profits etc)
  • Develop profitable new business and maintain/grow existing business consistent with the branch’s short and long term objectives. Responsibilities include actively managing relationships with key contacts and sourcing new clients in an effort to attract additional business and to retain current business (increased deposits, additional operating services, referrals etc.), identify opportunities for new business and leverage relationships for referrals
  • Act as a lead for sales in this unique role by working closely with an existing client book of depositors to identify deposit and Treasury needs and recommend appropriate solutions to help manage excess liquidity
  • The position will lead and/or participate in client calls, presentations, account openings and generating Treasury related solutions for clients/prospects through working with Treasurers and Controllers, either independently or jointly with branch management
  • Be Crucial with clients by identifying opportunities and presenting solutions relating to operating services including appropriate accounts, cash management services and alternate solutions including CWBDA, CAFT, FX, Visa, Ceridian, Moneris, etc
  • Establish relationships with exiting deposit clients and form new relationships. Also participation/lead when these companies run their various campaigns/promotions
  • Act as a resource/provide support to other branches on an “as needed” basis to facilitate deposit /RFP responses etc
  • Analyze CWB’s products and how they compare to other Financial Institutions and formulate strategies to increase branch competitiveness
  • Develop presentations for clients and prospects (including responding to RFPs) relating to operating services including appropriate accounts, cash management services (CWBDA, CAFT, FX, Visa, Ceridian, Moneris, and Treasury solutions, etc
  • Provide training and coaching to colleagues on Treasury products and strategies on sourcing new business opportunities
  • Ensure compliance monitoring is in place including processes for management of operational risk in accordance with Bank and regulatory standards
  • Inspire trust by being open, honest and direct in communication, meeting commitments and behaving ethically in all dealings
  • Treat all stakeholders with professionalism, dignity and respect and support an environment where people can contribute and excel
  • Demonstrate strong interpersonal skills that contribute to working effectively in a diverse working environment
  • Accept responsibility and accountability for actions and results
  • Make decisions guided by common sense and sound business judgement
  • Prepare and regularly review annual goals and career development plan with manager/supervisor
  • Promote cooperation and commitment within the CWB Group towards the attainment of common goals enabling productive group interactions
140

Cash Management Assistant Resume Examples & Samples

  • Preparation and reconciliation of daily cash reports
  • Maintenance of Microsoft Access database with Mortgage Loan information
  • Review and process funds and transfer requests
  • Assist with on-going improvements in processes
  • Self-motivated and dependable with excellent work ethic
  • Attentive to detail and accurate in completion of tasks
  • Experience with processing of funds in a similar environment PREFERRED
141

Intern Cash Management Resume Examples & Samples

  • Complete investment policy benchmarking study and understand impacts of money market reform on the Company’s current investment policy
  • Assist in the implementation of the global treasury workstation upgrade (Quantum)
  • Develop procedural documentation related to global treasury workstation specifically related to cash management
  • Assist in implementing an interface for various bank accounts / bank transactions with Quantum and the company ERP system (JDE)
  • Develop tracking system for all banking websites with user listings and access levels for security/audit purposes
  • Prepare final presentation to Treasury group summarizing projects and results
  • Actively pursuing Bachelor’s degree in a related field (Finance, Business, Economics, Mathematics)
142

Account Manager, Cash Management Resume Examples & Samples

  • 4-5 years of banking experience
  • Ensures and maintains client satisfaction with the product and services offered by CWB and our partner companies
  • Proven customer service and troubleshooting skills
  • Exceptional conflict resolution and objection handling skills
  • Makes timely, informed decisions that take into account facts, goals, constraints and risks
  • Clearly conveys information using the tools necessary, engaging the audience to ensure the message is delivered and understood, creating a positive first impression with confidence and respect
  • Responds well to change - able to accept change, with a positive attitude, as a natural occurrence of any business
  • Shows respect, maintains confidentiality, and honors commitments
  • Preserves effectiveness, drive and focus for extended periods of time, while maintaining composure in highly stressful or adverse situations
  • Follows policies and procedures when completing tasks
  • Takes personal responsibility
  • Highly flexible, with solid interpersonal skills that allow one to work effectively in a diverse working environment
  • Able to deal with people sensitively, tactfully, diplomatically, and professionally at all times
  • Grow and develop a portfolio of clients through the sale of CWB and subsidiaries product and service offerings
  • Interview clients to uncover opportunities to offer solutions to enhance and build the client relationship, referring as necessary
143

Treasury Analyst Cash Management & Commercial Banking Resume Examples & Samples

  • Utilizes Kyriba Treasury Workstation to coordinate cash transactions, including wire processing; reconcile prior day cash activities to ensure accuracy; post daily cash transactions to general ledger
  • Utilizes cash forecasts to develop daily cash position for Partners HealthCare corporate & affiliate business units
  • Administers electronic payment processing templates and online banking applications
  • Monitors and analyzes utilization of bank services and related fees
  • Facilitates opening/closing of bank accounts and maintains bank signature cards
  • Maintains cash management operating policies and procedures that conform to best practices; consults and educates Partners HealthCare’s business units regarding effective cash management controls
  • Interacts with banks and Partners HealthCare business units & departments to provide excellent customer service relating to cash management and commercial banking activities
  • Conducts Treasury service reviews in collaboration with PHS & Affiliate Business Units to identify opportunities for cost savings and operating efficiencies
  • Performs a variety of other financial, administrative and technical projects, duties and responsibilities, as needed
  • Bachelor’s Degree; Treasury experience within a corporate or bank setting
  • Knowledge of Kyriba (or comparable) Treasury workstation
  • General understanding of banking systems, including Treasury workstations, internet and electronic data interchange applications
  • Ability to quickly learn treasury management products and services, including cash management practices and procedures
  • Proficiency with quantitative analyses, including cash flow forecasting
  • Strong interpersonal, presentation and communication skills (verbal and written)
  • Highly collaborative and thrives in team oriented environment
  • Excellent project management, organization and planning skills
  • Ability to foster and maintain collaborative relationships with external and internal customers, peers and management, respectful communication skills
  • Must be results-oriented, able to problem solve and work well independently and in a team environment
  • Service driven, with proficiency in navigating within a complex, consensus-oriented organization
  • Proficiency in Microsoft Office Suite, including analytical and spreadsheet software (Excel)
144

Accountant, Cash Management Resume Examples & Samples

  • Performs account analyses and reconciles all assigned Balance Sheets and selected expense and revenue accounts
  • Reviews data received from other departments and subsystems for completeness and accuracy
  • Answers questions or directs questions to the appropriate individual(s), from department heads and outside facilities concerning variances on performance reports, and questions about cash management policies and procedures
  • Develops and writes procedures for all Carolinas HealthCare System departments that have change funds and/or collections
145

Treasury Analyst, Cash Management Resume Examples & Samples

  • Consolidate and manage short-term cash flow forecast, including forecast vs. actual cash flow variance analysis
  • Manage interday/intraday credit limits, cash balance bank compensation, and cash credit risk limits
  • Perform portfolio allocation activities, including communication of the forecasts to internal stakeholders
  • Support cash volatility studies in conjunction with Investments
  • 3+ years of related finance experience in a public or private company environment
  • Knowledge of cash management principles, tools, and techniques
  • Understanding of the company’s products, trading strategies, and market characteristics
  • Experience using and/or implementing Treasury Workstation preferred
146

Cash Management Representative Resume Examples & Samples

  • Building of cash flows actuals and short term cash forecasts to ensure that they all have the needed funding at any time, in the required bank and at the corresponding currency
  • Raises timing funding and defunding proposals to the team leader, based on cash flows actuals and available forecasting information, considering the specific time schedules to fund or defund each legal entity and country
  • Executes the day-to-day activities including the payment release function, ensuring that the Internal Audit required elements are delivered by Account Payables prior to processing the payment release
  • Requests to the corresponding stakeholders the information needed for the forecasting process, taking in consideration the different streams that feed it, like payroll, tax payments, payments to vendors and collections
  • Executes the standardization of the bank account signatories administration per legal entity focusing on relationship bank accounts
  • Ensures the access to all the bank accounts and bank account platforms for the countries assigned
  • Develop a fluent communication with the relationship banks key contacts per country to assist in any cash management or funding related activities
  • Liaise with Direct Tax, Indirect Tax and Compliance teams to get approval or advice in regards to tax treatment
  • Participates in the migration and implementation of other cash management processes
  • Language skills required in English is mandatory
  • Minimum of 1 year experience of working in a shared service center or multinational company in any cash management areas is desirable
  • Very good level in creating, managing and understanding Microsoft Excel files
  • Aptitude for process improvement, attention to detail, getting to root cause of problems
  • Good communication skills - written & verbal
  • Technical School degree required. Bachelor’s degree desirable
147

Cash Management Resume Examples & Samples

  • Proven ability to learn quickly and work as part of a team
  • Ability to adapt to changing environment
  • Must be fluent in English and Japanese. (English + Japanese + Spanish is a plus)
  • 1-2 years of customer service experience in a professional setting
148

Intern Cash Management Projects Resume Examples & Samples

  • Within this unit, you will support our team and BASF treasury community in topics, projects and processes to optimize cash management globally
  • You will coordinate and support a project optimization and reduction of manual payments globally, implementing best practices
  • Furthermore, you will support our team in acitivities to implement our global credit card program
  • You are enrolled in a study program either in business administration or business informatics with focus on corporate finance, credit management or accounting
  • In addition, you work on a project-oriented basis and have the necessary motivation and initiative
  • During the daily business, you apply your excellent spoken and written English and German language skills productively within our international teams
  • You keep the interests and concerns of both the company and the customer in mind at all times and enjoy further developing yourself and others in order to achieve the best possible results together
149

Analyst, Cash Management Resume Examples & Samples

  • Assist in determining and reviewing daily cash positions for Exelon’s regulated business. Gain understanding of routine cash inflows and outflows to determine funding requirements and assist with forecasting cash position
  • Understand and utilize the Wall Street Suite Treasury Workstation and related informational inbound and outbound feeds including bank file imports, debt information and general ledger exports
  • Perform and provide analysis and reporting on various liquidity areas such as short-term financing, investing, banks fees, budgets, forecasts, yields, etc. Provide ad-hoc support for Treasury senior management and operating unit requests and quarterly reporting
  • Execute electronic fund transfers
  • Assist in executing short-term borrowing and investing transactions including the issuance and recording of commercial paper and the issuance of letters of credit and parent guarantees
  • Provide project support for efforts to develop and utilize new technologies, including assisting in the selection of new banking partners and updating of banking data residing in cash-related systems
150

Assistant Manager Cash Management Resume Examples & Samples

  • Demonstrated intermediate to advance Accounting knowledge
  • Demonstrated clear and concise communication skills including adapting both verbal and written communication to the needs and level of the user and audience
  • Demonstrated experience in resource management (e.g. shift and capacity planning), team performance management, recruitment and training
  • Experience in leading, motivating and developing people
151

Global Sales Cash Management Resume Examples & Samples

  • Assist the Global Sales Regional Manager in defining the business strategy and commercial plan for the promotion of Global Cash Management products to clients that belong to the region under his/ her responsibility
  • Originate proactively Global Cash Management commercial opportunities jointly with the Relationship Managers, with special focus on Latin American countries
  • Receive and manage Request for Proposals (RFP) for the following products: Payments, collections, liquidity management & cash pooling, credit cards & merchant services, electronic reconciliation. Present a jointly proposal for all regions in collaboration with local Transaction Services (TS) teams. When the RFP requests services that are managed outside of the Cash Management product suite, coordinated through the Global or local RM and product unit to consolidate response. These may be lines of credits, Trade Finance, FX, short term deposits among other services
  • Lead complex implementation projects to set up centralized payment, collection and liquidity structures for Latin American countries, based on Host-to-Host and SWIFT connections, guidance related to file formats such as XML, .iDoc, EDIFACT and tracking and reconciliation of orders
  • Provide guidance of feasible cash pooling structures in the region, assessing tax impacts related to withholding tax, financial transaction taxes and legal restrictions that apply in main Latin American countries
  • Review and negotiate legal documentation of agreements and contracts related to such services, understanding main issues that are relevant in Latin American countries
  • Provide the Global Product unit with input from client needs to define future product releases aligned to clients demand
  • Know the catalogue of global and local Cash Management products in-depth, particularly where BBVA has transactional capabilities, in order to be able to present and offer them to the clients and solving doubts that may arise
  • Measure, monitor and analyse through management tools all products and services income generated per customer and geography
  • Carry out communication and recurrent training actions aim to foster the knowledge of Global Cash Management products and channels amongst Relationship Managers
152

Cash Management Service Coordinator Resume Examples & Samples

  • Provide refresher telephone training and ongoing technical support for any CM products sold to customers
  • Prepare documentation as a result of a customer's request for additions/revisions to any CM service or product
  • Assist with the resolution of all workflow, payments, transactions, or other operational questions/issues posed by customers; document significant customer service issues and notify management
  • Manage internal operations requests and customer requests via the Cash Management Grp box and 1 888# and assign to appropriate LOB Specialists
153

Manager Global Cash Management Capital Markets Resume Examples & Samples

  • 1 year banking, corporate treasury, or corporate finance experience
  • 1 year experience analyzing data and interpreting results
  • 1 year experience using intermediate functionality of word processing, spreadsheet, and presentation software (for example, Word, Excel, PowerPoint)
  • Employment Type:Full Time
154

Cash Management Team Member Resume Examples & Samples

  • Provide clients with accurate and updated cashbook and cashflow for each allocated bank account
  • Approve and authorise accounts payable payment runs to deadline using forecasts and customer input where necessary
  • Responsible for the daily reconciliation of cashbook ensuring general ledger reconciles with cashbook, bank statement and cash management module
  • Ensure that all bank transactions are properly accounted for in Oracle, liaising with customers and colleagues as necessary to provide supporting documentation and action
  • Authorise CHAPS/fast payments within the manual payments form ensuring they are recorded in either accounts payable system or direct to general ledger
  • Action "stop cheque" and "out of date cheques" liaising with Accounts Payable to ensure that they are properly recorded in the Oracle system
  • Responsible for the requisition of foreign currency payments and any other manual payments as requested by the client, ensuring the payment is paid to deadline and accounted for correctly in Oracle
  • Administer pension payments using either the pensions on-line system or manual process, ensuring payment is made to deadline and payment reconciled correctly in Oracle
  • Responsible for the payover of monthly Tax/NI, ensuring payments are made to deadline and payment reconciled in Oracle correctly
  • Responsible for completion of standing order requests/deletes/amendments as requested by clients, ensuring cashflows are updated, payment reconciled correctly in Oracle
  • Preparation and analysis of detailed cash flow forecasts advising customers of potential cash risk and possible resolution
  • Analyse all inter NHS contract funding to be processed advising of any shortfalls
  • Responsible for completion of drawdown forms ensuring that correct funding is received
  • Monthly reconciliation of bank general ledger control accounts to cash book and review with customers to clear outstanding items in accordance with agreed timetable
  • Control year-end cash movements liaising with customers, accounts payable and accounts receivable
  • Ability to resolve all client cash management queries
  • To be responsible for own daily KPI's to ensure delivery of all processes are to deadline and that any risks, issues are escalated to Team Leader/SME in a timely manner
  • Assist in the training and induction of new staff
  • Double entry bookkeeping and knowledge of journals
  • Possess excellent communication skills – verbally, in print and especially, on the phone
  • Be detail oriented - able to multitask and handle multiple client accounts
  • Be able to manage time and projects effectively to meet deadlines
  • Be able to work effectively in a team environment
  • Previous Cash Management experience in any capacity is essential to be a success in this role
  • Have knowledge and experience in using Microsoft Office Software – particularly Excel
155

Senior Manager, Cash Management Resume Examples & Samples

  • Your exceptional communication/influence skills, both written and verbal
  • Your superior analytical and problem solving skills
  • Your ability to work in a deadline-oriented environment and handle multiple tasks simultaneously within a tight timeframe
  • Your ability to interact effectively with peers and management to address and resolve issues
  • Your excellent customer/business partner service skills
  • Your ability to lead a team, project management and implementation
  • Your solid Microsoft Access experience
  • Your strong Excel experience with formulas, pivot tables, charts and macros
156

Cash Management Product Management Associate Resume Examples & Samples

  • Assist with the implementation process of cash management products for business banking clients (Online Banking, ACH, etc)
  • Manage vendor relationshipsand provide solutions for new/existing cash management products, enhancements, and conversions (i.e. testing, implementations, migrations, account setup)
  • Provide support to cash management customer service; answer questions, troubleshoot, analyze and resolve complex issues regarding cash management products, implementations, setup, scanners, accounts, etc
  • Follow up on established time frames and project plans to meet deadlines; coordinate with team members, vendors and clients to deliver product/service
  • Assist with training clients and Cash Management Team members on new products and changes as needed
  • Create/modify cash management procedures for implementation and product management
  • Assist Product Managers with vendor contracts, negotiating contracts for new services and expiring contracts
  • Minimum 2 years experience/knowledge in cash management products or 2+ years in a business banking team with cash management exposure required (i.e. Remote Deposit Capture, Lockbox, ACH, etc)
  • Experience in a Commercial Bank or Cash Management department a plus
  • Experience with testing, implementations, conversions, migrations a plus
  • Ability to work well independently with limited supervision
  • Proactive and motivated with good problem solving and organizational skills required
  • Detail oriented, able to multitask, assist with project plans, follow up, and coordinate with vendors/clients to meet deadlines
  • Strong interpersonal and communications skills with ability to work well in teams
  • Proficiency in Microsoft Office required (Outlook, Excel, Word)
157

Senior Manager Cash Management Operations Resume Examples & Samples

  • Manage global team to execute cash movements of complex intercompany transactions
  • Manage the servicing and settlement for loans on Wall Street Systems Intercompany Funding system as well as cash movements for loan managed off line
  • Coordinate with business and others on cash requirements for acquisitions/divestitures related to preclosing, closing logistics and post-closing settlements
  • Interact as needed with Financial Institutions to pre-advise and confirm transaction execution
  • Coordinate required cash activities for RCAs, Term Loans and Equity across poles
  • Oversee and manage all day two funding activities including drawdowns, repayments, prepayments, amendments, etc
  • Leverage technology to drive efficiencies and minimize manual servicing activities
  • Maintain strong working relationships with diverse groups within Treasury and GE businesses including Corp Tax, Corp Legal, Treasury Operations and Accounting as well as Business Tax and accounting
  • Respond to business level inquiries and requests regarding balances, activity, operational issues. Oversee reconciliation needs
  • Validate transaction summaries produced from funding portal reflect source docs
  • Participate in, and lead key strategic initiatives that drive simplification, standardization and automation of activities across Middle Office activities
  • Ensure compliance with Intercompany Funding policies and processes while meeting customer requirements
  • BA with relevant years of overall work experience or equivalent knowledge and experience
  • Excellent domain knowledge in Cash Management, Intercompany Funding, FX and Derivatives
  • Strong accountability of tasks with subject matter expertise
  • Demonstrated leadership skills and ability to work in global business environment with a sound understanding of global processes and transactional flows
  • Independent thought leadership and judgment
  • Strong operational excellence and project management experience
  • Controllership mindset, stakeholder management skills
  • Good communication and project management skills
  • Experience in managing medium to large projects
158

Senior Analyst, Cash Management Resume Examples & Samples

  • 2 years’ work experience in Finance or Accounting
  • Fluent in English (written and oral)
  • This position will be located in Queretaro, Mexico
  • Experience in treasury/cash management or banking preferred
  • Proficiency in Microsoft office products; experience with Quantum system a plus
159

Cash Management / Middle Office Associate Resume Examples & Samples

  • Supervise the delivery of exceptional client service. Monitor communication between the Front Office and Middle Office. Ensure service levels delivered by the Middle Office to the Front Office and clients exceed expectations. Resolve complex and/or urgent problems on a daily basis
  • Participate in various projects and initiatives to support Middle Office Operations and the other business units (e.g. PCA and IMC). This may include projects pertaining to the structure of Middle Office, operational flows and systems, rollout of new products and services, etc
  • Monitor and Assist when needed with the daily workflow involving opening and maintaining client accounts, asset transfers and money movements to ensure accuracy and timely completion. Investigate and resolve any errors, inconsistencies, or problems. Assist in monitoring performance of analysts and determine if training is required to ensure their ability to complete their assigned tasks
  • Assist Front Office Business Units and Operations Management by leading onboarding efforts pertaining the new recruits in Chicago as well as other offices. Provide support for client portal inquiries and set-up
  • Partner with management to ensure workflow is balanced and all representatives are working together as a team. Assist in training employees on all aspects of operational processes. Provide mentoring to interns on various tasks pertaining to Operations
  • Help facilitate the implementation of new systems and required changes to procedures. Partner with Group Manager to build and align the Client Accounts Team to achieve its mission and goals
  • Strong knowledge of securities business processes and applicable procedures
  • Knowledge of applicable regulatory rules and regulations pertaining to Client Accounts, Retirement Plans and Cash Management
  • Demonstrated leadership capabilities
  • Analytical and critical thinking skills
  • Ability to work effectively, both individually, and as part of a team
  • Easily adaptable to changing circumstances and diverse personalities
  • Highly motivated with the ability to energize others
  • 4+ years’ experience brokerage firm operations or other financial services positions
  • Series 99 or Series 7 exam preferred (willingness to complete with 6 months of hire date will also be considered)
160

Senior Cash Management Operations Specialist Resume Examples & Samples

  • Review and process all customer cash management product and service requests
  • Provide customer training on Business Online Banking and Merchant Deposit Capture solutions
  • Perform functions related to the Account Analysis system
  • Process online banking applications
  • Respond to internal/external customer inquiries, problems and complaints received via phone, email, and Online Banking email communications for CM products and related issues
  • Escalate product and support projects as requested
  • Education: High school diploma or equivalent. Some college preferred, but not required
  • Experience: Two years of work related experience and understanding of bank operations. Detailed knowledge of operational processes related to all cash management products and services. Operational knowledge of on-line banking and cash management systems preferred
  • Skills/Ability: Ability to work in a high paced environment and perform multiple tasks simultaneously. Detail oriented, good follow up, strong written and verbal communication skills and ability to function in a team environment. English proficiency, bilingual (Mandarin and/or Cantonese) a plus. Ability to effectively work with all staff levels. PC proficient including Excel and Word
161

Cash Management Administrator Resume Examples & Samples

  • Work as part of the Cash Management Team who ensures that the sectional Business Objectives are met
  • Input SWIFT payments and process funds received advices
  • Perform Daily reconciliation of NTGL Nostro Accounts
  • Perform Cash Management monitoring duties
  • Good organisational skills
  • Is discreet and understands the importance of confidentiality
  • High standard of attention to detail
  • Working to tight deadlines
  • 1-2 years’ experience in a similar role
  • Knowledge of SWIFT highly desirable
162

Treasury Analyst, Cash Management Resume Examples & Samples

  • Provide cash management expertise to business areas to identify and implement opportunities for improved cash management policies and practices ensuring optimal investment of the company’s cash flows
  • Support audit activities
  • 4+ years of related treasury or finance experience in a public or private company environment
  • Strong knowledge of commercial banking products, Fed clearing rules, and asset settlement procedures
  • Undergraduate degree in accounting, finance or related field; CCM, CPA, or MBA preferred
  • Insurance industry inexperience preferred
163

Director, Cash Management Resume Examples & Samples

  • Responsible for management of USS domestic cash management / external investing activities. Portfolio ranged from $330 million to $1.425 billion
  • Provide leadership for 6 USS headquarters FTE's and 1 part-time USS Portfolio Delaware employee
  • Maintain optimal cash resources to satisfy all domestic needs of USS, its divisions and operating subsidiaries
  • Oversee efficient collection, deposit and protection of funds arising from all domestic operations
  • Oversee efficient disbursement of funds for approved payments via wire transfer and ACH
  • Oversee daily cash flow forecast
  • Oversee investment / borrowing activities for domestic group cash pooling programs
  • Coordinate global cash management initiatives
  • Maintain bank relationships for all USS units
  • Coordinate Sarbanes-Oxley internal control program
  • Manage, analyze, and control bank service costs
  • Ensure that USS and subsidiaries have / exercise proper financial controls over cash management practices
  • Manage and control bank systems, cash books and other PC and corporate systems
  • Maintain awareness of emerging cash management products and technology. Analyze and
  • Develop and coach department employees
  • Ensure a safe working environment for self, fellow employees and visitors
164

Experienced Software Engineer for Cash Management Resume Examples & Samples

  • Experienced in C#, Web API, .Net or .Net Core in general
  • Experience with API management, designing and developing RESTful APIs
  • Experience with in relational database technology like MSSQL or DB2
  • Familiar with Git or TFS
  • Knowledge about HTML5, CSS3 and JavaScript in general
  • Quality built-in way of thinking and experienced in writing unit and integration tests
  • Designing solutions around Messages Oriented Middleware like RabbitMQ
  • Cloud based development and horizontal scaling application architecture
  • NoSQL databases like Cassandra
  • Elasticsearch or Solr
  • Docker and container orchestration
  • Node.js
  • Linux
  • Micro Service design and architecture and Domain Driven Design principles
  • Event driven design and the use of Pub/Sub architecture patterns
  • Continuous integration/continuous delivery pipelines and DevOps culture
165

Cash Management Supervisor Resume Examples & Samples

  • Assess performance of individual members of the team. Provide timely feedback for favorable performance and contributions (i.e. recognition) as well as appropriate coaching/counseling for unfavorable performance
  • Support employee career development by providing employees with opportunities to develop their knowledge, skill and abilities and conducting candid career conversations
  • Support staffing (perpetuate the team) through candidate evaluations, conducting interviews and collaborating on staffing decisions
  • Collaborate with management to develop human capital plans and capacity models
  • Resolve conflicts that arise between employees and/or other constituents
  • Establish priorities, delegate work and hold self and team accountable for attaining high quality results
  • Monitor, evaluate and approve employee time entry and time off requests
  • Ensure policies and procedures are maintained and adhered to
  • Ensure all service level agreements (SLA) with internal functions and Private Label Solutions clients are met
  • Disseminate departmental objectives and ensure appropriate execution of tactics to meet these objectives
  • Provide support for ad hoc projects as required
  • Oversee processes pertaining to payment, exception payment, payoff processing, reversal requests, returned items, loan level suspense, lockbox adjustments, payment research, cash settlements, ACH/flex pay set up and maintenance, rejected electronic payments, notices of change to ensure the operation is functioning efficiently
  • Identify trends and opportunities for process improvement
  • Research loan level inquiries received and obtain and provide supporting information internal mortgage servicing functions, clients, etc
  • Collaborate with management to develop, implement and adjust Key Risk Indicators (KRIs)
  • Serve as the face of PHH with regard to various cash management functions including hosting regular conference calls, review vendor scorecards, etc
  • Support management by providing information and analysis for Private Label Services or vendor visits
  • Approve daily transactions involving wiring of funds
  • Minimum of three (3) years of mortgage banking experience required
  • Experience with cash management preferred
  • Proficiency with Microsoft Office products (e.g. Word, Excel, Outlook, Powerpoint, etc.) required
166

Account Services Rep Cash Management Resume Examples & Samples

  • Qualifies validated paperwork, activates and maintains advisors accounts
  • Research, resolve and follow-up on applicable transfers, cash movements, document restrictions on accounts and release restrictions when issues are resolved
  • Contact contra firms as needed to status submitted transfers or to make general inquiries as to contra firm procedures or contact/delivery information
  • Review and process cash management, transfer request and banking needs the clients may have requests for Advisors and their Clients
  • Analyze all paperwork received, document and notify clients of pending issues, work closely with clients for resolution, and accurately process accounts, as they are resolved
  • Performing in depth research on issues as well as identify best courses of action to best service the client and protect the firm from liability
  • Partner internally with Senior Relationship Managers to ensure the appropriate research and resolution of issues in a timely manner
  • Serve as a subject matter expert to 2 or more back office specialty areas and perform basic functions in all areas
167

Cash Management Operations Specialist Resume Examples & Samples

  • Assists with the efficient and effective control of the Cash Management Operations Department
  • Proficient in the setup and function of the various Cash Management products
  • Corresponds directly with customers via telephone, mail and e-mail
  • Supports customers with customer service and technical questions regarding the Cash Management products
  • Identifies customer needs and sales opportunities for other services to expand banking relationships
  • Deals directly with FIS regarding issues related to Cash Management outages, errors and customer issues
  • Updates and maintains various reports and spreadsheets for the Cash Management department
  • Train newly hired Cash Management Operations staff on all Cash Management Operations products
  • Maintains a good working relationship with all bank employees. Demonstrates the ability to work independently. Works as a team player to contribute to the success of the department and in turn the organization
  • Additional duties as required
  • 1 year: Up to one year general experience
168

TK Ops, Cash Management, Director Resume Examples & Samples

  • Partner with key business stakeholders to help deliver results
  • Contribute to Global functional business plans as well as successfully execute on the regional business agenda
  • Enhancing control and continuously improving and reducing operational risk. Mange continuous improvement of the process and contorl environment
  • Proactively explore solutions to close control gaps and ensure adherence to existing control & supervisory framework; regular review and understanding of procedures, checklists, and reporting to ensure they are accurate and current
  • Responsible for adhering to Japan regulatory and audit request from internal and external
  • Institute and maintain a program and culture of continuous learning to develop the depth of product expertise necessary for success
  • Establish broader networks to foster co-operation and build consensus in order to achieve business results
  • Set direction for teams, create culture of control and set expectations for the team members
  • Engage with the industry through forums
  • Product knowledge: basic banking knowledge desired
  • Language: Native level Japanese (both verbal and written), Fluent level English (both verbal and written)
  • PC skill: Excellent PC skills in data analysis and producing presentations
  • Experience in Operations desired
169

Cash Management Suspense Specialist Resume Examples & Samples

  • Review unapplied funds report and allocate funds to appropriate categories based on loan status
  • Apply funds based on category in which the funds fall following appropriate payment hierarchy
  • Disseminate system generated correspondence to homeowners
  • Experience with cash transactions in mortgage banking preferred
  • Understanding of corporate bank accounts and cash transactions preferred
  • Proficient with Microsoft Office products (e.g. Word, Excel, Outlook, Powerpoint, etc.)
170

Consultant, Cash Management, HFS Resume Examples & Samples

  • Manage the daily processing of cash flow requests by clients. This includes: Ensuring proper AML checks have been performed on the instruction, ensuring all required approvals have occurred, executing payments per authorized instruction, confirming payments have been made, posting all cash related transactions as instructed by the client and assisting in the resolution of any issues related to payments made on behalf of clients
  • Provide cash forecasting to hedge fund clients across strategies and perform controls to verify accuracy. Assist in managing and monitoring cash balances and activity across account types (banks, custodians and prime brokers) as a product of cash forecasting
  • Oversee client liquidity, cash management and financing at Custodian and Prime Brokers
  • Create macros to creatively support both internal and client specific operational requirements
  • Oversee and process investor subscriptions and redemptions and the subsequent movement of cash to the client's desired location
  • Liaise directly with clients to onboard new clients and establish banking connectivity and solutions that will meet their cash management needs. Administer account implementation process and effectively communicate status to internal partner areas
  • Coordinate connectivity with client’s banks, custodians and prime brokers through SWIFT. Establish protocol for connectivity to further our objective to become counterparty agnostic
  • Work with clients to resolve cash breaks and issues related to wire payments
  • Identify and escalate issues and risks; think creatively to find solutions to process gaps
  • Support development of an expanded cash management offering to expose additional cash management solutions to our clients through technology. Provide feedback into cash management system based upon market place needs, client feedback and workflow improvement. Work directly with IT to develop, test and implement this framework
  • Accurately define business requirements to enhance services for the cash and collateral management team
171

Accounts Receivable / Cash Management Resume Examples & Samples

  • Process Customer Invoices
  • Cash Flow Analysis and Tracking
  • Support Accounts Payable
  • Support Monthly Closing process
  • 2+ years in accounting in a manufacturing environment
  • 2+ years working in accounts receivable
  • 1+ year working in cash management
172

Analyst Cash Management Resume Examples & Samples

  • Perform daily matching, posting of journal/XT and issue of unmatched report to various owned/managed hotels and should be able to help other team members in case of need
  • Prepare month end reconciliations with in stipulated timeline and should be able to help other team members in case of need
  • Handle hotels/counterpart queries
  • Coordinate with other teams with in BSC for their respective job profile and handle their queries
  • Provide input to decisions for future system enhancements and process improvements
  • Liaising with Banks on a day to day basis to sort out any issues
  • Preparation & Posting of Journals in PeopleSoft
  • Matching the book entries with the bank entries and sending unmatched items report to hotel. Actively matching all the items identified by the hotel through match sets received from hotels
  • Find opportunities to improve efficiency and reduce manual intervention in booking of transactions
  • Demonstrated knowledge and proficiency of PeopleSoft, Excel, PowerPoint or other E.R.P. system
  • Presentation skills necessary for various level audiences (peers, managers, departments, owners)
  • Demonstrated ability to assess, prioritize, delegate, and meet timelines as necessary for their routine work and various projects. Demonstrated ability to manage multiple priorities and responsibilities
  • Demonstrated basic to intermediate Accounting knowledge
  • Bachelor's in a relevant field of work or an equivalent combination of education and work related experience
173

Technical Lead-cash Management Resume Examples & Samples

  • Bachelor's Degree in IS, Computer Science or a related field required
  • 10-15 years of experience of lead experience in Commercial Banking or related areas
  • Strong experience in Payment solutions like Wires/ACH/RTP
  • Strong experience in JAVA/J2EE technologies
  • Experience in Messaging solutions like MQ and middleware platforms like WebMethods
  • Experience in developing low /high level design documents and documenting NFR
  • Experience with CI tools like Jenkins
  • Experience with SOAP and RestFul services
  • Strong experience in SDLC methodology
  • Experience in working & leading teams in different geographical areas
  • Requires an expert understanding of application systems and strong knowledge of all major business functions
  • Has expert knowledge of business systems, and has specific knowledge of the functions supported as well as their associated functions
  • Strong project management and team building skills
  • Practiced ability to analyze, develop and implement complex programming solutions necessary
174

Cash Management Senior Analyst Resume Examples & Samples

  • Support the Cash Management activities of AIG in the respective region through forecasting, funding and variance analysis in order to achieve department and wider global goals and protecting the value of the organisation as a whole
  • Daily cash positioning, forecasting and reconciliation for AIG entities in the respective region, ensuring adequate liquidity is available daily to meet the business wide needs
  • Conduct forecast variance analysis by partnering with individuals in the various business units and departments throughout the organization to provide timely and accurate forecasts on a daily basis
  • Manage Daily cash sweeps to set targets optimizing account interest rates and return on investment while also reducing cost of cash balances through concentration/disbursement where possible
  • Optimization of cash pooling processes and yield on short term cash available for investment
  • Provide analysis and recommendation on smaller entities based on cash balances and potential activity
  • Manage Intercompany positions on a daily basis ensuring all activity is tracked and reported correctly
  • Manage the company payment process, look to improve efficiencies and address queries from the business or external banking partners on a timely basis
  • Generate and distribute various Treasury reporting on a Daily/Weekly/ Ad Hoc basis
  • Partner with Global AIG counterparts to ensure all cross region activity is managed effectively and efficiently
  • Manage queries from all stakeholders on a timely basis ensuring best-in-class service is provided at all times
  • Manage relationship with global banking partners ensuring all issues are addressed or escalated as appropriate
  • Be part of or lead various Treasury Operations projects through collaboration across a variety of functions including Finance, IT, Global Treasury etc
  • Partner with Treasury Compliance team to ensure all activities and duties are carried out within the respective global standards and policies
  • Ensure adherence to all AIG Treasury policies and controls
  • Ensure procedure documentation, Standard Operating Procedures, and Business Continuity
  • 5 plus years of work experience in a corporate Treasury or Cash Management environment
  • Prior experience with Treasury Management systems or electronic banking systems
  • Prior cash management experience, performing target balancing, monitoring of bank accounts, generating cash forecasts and cash position reports
  • BA degree in Accounting, Finance or a Business related is preferred
  • Certified Treasury Professional (CTP) a plus
  • Must possess strong interpersonal skills (both verbal and written)
175

Peoplesoft Fscm-cash Management Consultant Resume Examples & Samples

  • Perform tasks to complete Cash Management implementation
  • Provides PeopleSoft functional expertise and leadership in responsible areas; ability to develop a partner relationship and provide knowledge transfer
  • Ability to advise, research and analyze cash management issues
  • Provides guidance to project team in area of best practice regarding areas of responsibility
  • Implementation experience with PeopleSoft 9.2 Procurement modules especially Cash Management. Will be expected to setup and configure Electronic Banking Service for multiple banks, both U.S. based and International
  • Will need to build Bank Rules for Reconciliation Process and work with client to load bank files
  • Ability to test with client, troubleshot issues from loaded files
  • Ability to support the load process into GL and perform testing, validation and issue resolution
  • Has at least two demonstrable full life-cycle implementations of Cash Management
  • Excellent interpersonal skills with the ability to work with management teams and offshore resources in gathering configuration requirements and configuring system
  • Comfortable leading and facilitating meetings; comfortable and well-versed with client interaction
  • Ability to take on a collaborative and solutions-oriented approach with the client and other team members as needed
  • High level and demonstrated implementation experience with the procurement side process, Accounts Payable, Purchasing, etc
  • Extensive experience in FSCM configurations, conversions, and integrations
  • Must possess good writing skills, able to develop functional specifications, client presentation materials using power point, flowcharts and mastery of at least Microsoft Office software
  • Ability to estimate work timelines
  • Client system is in production and completing specific functionality. Will need to quickly come up to speed and establish working relationships with existing Ciber team and client
  • Experience with FSCM modules in addition to those specified and their associated related integrations
  • Experience with Hospitality Industry
176

Senior Cash Management & Banking Analyst Resume Examples & Samples

  • Reviews, maintains and reconciles cash forecasts for all US-based entities; forecasts are used to determine daily funding requirements and as such a high level of accuracy is critical
  • Develops and maintains analytical tools to help project cash sources and requirements and explain forecast variances
  • Daily contact with US Money Market dealers to facilitate short-term debt issuance and short term investments and to stay current on market trends
  • Maintains ongoing communication with credit facility and external debt administrators (e.g. Trustees, Issuing and Paying Agents etc.) to ensure timely execution of external financial obligations
  • Works closely and builds relationships throughout the organization via regular interaction with Accounting, Risk Management, Corporate Finance, Business Development and other functional groups to ensure accuracy and timeliness of cash forecasts and smooth execution of financial transactions
  • Reviews and manages daily Treasury related transactions to ensure settlements are completed as required and recorded accurately using a combination of cashbooks and Treasury systems (Openlink and Kyriba)
  • Collaborates with other members of Cash Management group to seek out process improvements and develop a broader perspective on linkages between CAD and US cash flow forecasts
  • Responsible for preparation and distribution of various reports to management, internal accounting departments and other members of the Treasury department
  • Prepares and maintains internal dividend and distribution schedules and memos; responsible for setup of intercompany loan arrangements and documentation
  • Assist with ad-hoc projects
  • University Degree or Business College diploma in finance (or related), or economics
  • At least 2 to 4 years of progressive experience in a Treasury/Finance related field preferable
  • Enrollment in business/finance professional designation would be beneficial
  • Demonstrated understanding of finance related concepts, products and terminology
  • Strong organizational and team skills, including the ability to manage the completion of several projects concurrently
  • Strong computer skills including the ability to quickly become proficient in the use and optimization of the Treasury systems (Openlink and Kyriba)
  • Knowledge of online banking platforms would be beneficial
  • Proficient in Microsoft office package including Outlook, Excel and Word. Oracle experience would be beneficial
  • Share our core values of Integrity, Safety and Respect
177

Gold Cash Management Executive Resume Examples & Samples

  • Managing a dedicated portfolio of clients using in-depth specialist knowledge across a range of supported products
  • Turning client dissatisfaction around by either resolving or identifying system/process enhancements
  • Ensuring all call documentation is complete, accurate, concise, detailed, and legible and escalated to the correct area for further resolution if required
  • Providing role model behaviours and acting as a mentor to other advisors
  • First class customer service skills
  • The ability to adapt to change
  • A proactive focus towards query resolution and ability to analyse the root cause, to prevent future queries
  • General keyboard and PC skills
  • Organisational and planning skills
  • It is preferred (but not essential) that you also have
178

Cash Management Operations Specialist Resume Examples & Samples

  • Acts as a first-line resource for problem solving regarding all deposit operational issues
  • Receives and handles inquiries from both employees from throughout the enterprise and customers
  • Performs assigned special projects
  • Responsible for providing back up to other Cash Management Operations Specialists as requested by the supervisor
  • Operates equipment to receive and transfer funds
  • Receives, verifies, processes and distributes incoming transfers according to established procedures
  • Balances deposit general ledger applications
  • Reports back up withholdings, as required
  • Responsible for processing levies, garnishments and/or bankruptcy requests, including all communication, documentation and reporting
  • Verifies and removes deposit exceptions
  • Performs new account and file maintenance verification
  • Maintains detailed records on all work responsibilities as required
  • Ensures all departmental documents and activities are performed in compliance with applicable laws, regulations, policies and procedures as applicable to this position, including completion of required compliance training
  • Ability to perform tasks quickly and accurately
  • Ability to operate in a team environment to accomplish shared goals
  • Ability to solve practical problems and interpret a variety of instruction provided in written and/or oral form
  • Ability to read and interpret documents such as procedures manuals, general business correspondence and/or journals or government regulations
  • Ability to effectively present information in one-on-one and small group situations, to customers, clients and other employees in the organization
  • Ability to maintain effective interpersonal relationships with management and team members
  • Ability to prioritize multiple demands in a high pressure environment while maintaining professional demeanor
  • High school diploma or its equivalent is required
  • Three plus years of related experience required; banking operations and/or customer service experience preferred
  • MS Office programs
179

Treasury Cash Management Junior Analyst Resume Examples & Samples

  • Provide accurate and timely funding forecasts for approximately 40 currencies complying with intraday cut-offs across Western Europe
  • Monitor Nostro Account balances and align reporting to Market Currency Cut-offs
  • Review and analyse complex transactions both intraday and during reconciliation
  • Effective communication with multiple departments located across the globe, including the Treasury trading desk
  • Keep strict daily cut-off times in terms of reconciliation of Nostro accounts
  • Collect information from various banking systems/platforms
180

Cash Management & Partner Product Manager Resume Examples & Samples

  • Responsible for the existing referral agreement between the bank and a key external business service provider
  • Responsible for managing the contractual agreement, product penetration and product mix, customer privacy/controls and client experience. The manager will work with other business banking marketing managers to successfully deliver our integrated business solutions
  • Serve as a strategic player to lead our key marketing partnerships, including management of existing external partners, as well as contribute to the development of a long-term partner marketing strategy within our current ecosystem of Cash Management Products/Services, including both Payables and Receivables
  • Deliver an overall partner marketing and execution strategy, including optimizing revenue growth and marketing mix across digital and non-digital channels
  • Collaborate with internal and external partners to identify opportunities to increase sales, improve client experience, increase retention across Business Banking and Cash Management
  • Partner with sales/marketing teams to enhance and develop new marketing collateral and training materials for internal/external usage
  • Vendor Management – manage a third-party service provider, including contracts/negotiations, service level agreements, Privacy/Controls, and Reporting/Analytics
  • Work with Direct Marketing and the Sales Channels to increase referrals and sales of partner services, including partnering with Bankers
  • Identify trends, make recommendations, improve the client and vendor relationship, and banker experience
  • Product Development and Pricing: Work to simplify pricing, enhance product offerings and evaluate competitive offerings as part of strategic positioning exercises
  • Risk/Controls: Maintain that all processes and controls are in place, including AML/KYC/Third Party Oversight
  • Bachelor's degree in a related field required; Financial Services experience preferred
  • 7+ years in Marketing or a related field
  • Strong negotiation skills, partner/vendor management experience
  • Ability to work independently and collaborate jointly as a team member
  • A strategic thinker with a results oriented mindset; ability to manage multiple initiatives simultaneously
  • Ability to organize information in a concise and user-friendly way
  • Able to quickly develop strong internal and external relationships
  • Strong knowledge of Excel and PowerPoint
  • Knowledge of Cash Management products is a plus (Loans, Lines of Credit, Letters of Credit, Specialty Finance, ACH, etc.)
181

Director, Global Cash Management Resume Examples & Samples

  • Leader of Global Cash management function. Build a best-in-class cash management infrastructure and design strategies and standardized operational procedures with zero defects
  • Maintain and enhance cash flow positioning/forecasting, analysis and reporting of cash flow trends and potential liquidity requirements globally
  • Build strong relationships with external global banking partners, as well as internal Accounting, Tax, legal and BU
  • Understand and actively manage cash activities which impact the P&L (FX, interest income/expense) and help meet our financial obligations
  • Ensure Corporate and Treasury policies are adhered to
  • Implement Treasury system to efficiently perform daily cash positioning, bank account administration, intercompany trade settlement/loan oversight and management reporting
  • Lead integration of M&A transactions and new client contracts into cash management infrastructure. Focusing on automation and scalability
  • Provide exceptional leadership to motivate and retain a team of Treasury Professionals
182

Cash Management Rep Resume Examples & Samples

  • Prepare adjustments for customer accounts
  • Prepare escheatments, refunds, bad debt, third party
  • Prepare credit matches for open item accounts
  • Apply payments for posting to full service accounts in BSG, Sally3, and AMLP
  • Prepare daily, weekly and monthly status reports
  • One year of accounts receivable and/or collection experience
  • Capable of maintaining a high degree of accuracy in a repetitive work environment
  • Capable of remaining focused on the task at hand in a repetitive environment
  • Deadline orienteed
  • Excellent 10 Key
  • Computer and systems aptitude with experience in Microsoft Office, AS400 and Orcale
183

Senior Cash Management Consultant Resume Examples & Samples

  • Works with business relationship managers to drive the development of new profitable Cash Management business while maintaining and growing the existing portfolio
  • Relationship Building – Ability to build strong relationships with clients and internal partners. Ability to influence those outside of direct management control
  • Marketing Expertise – Ability to leverage expert knowledge to proactively and creatively present solutions to clients and prospects
  • Business Acumen – Ability to understand the overarching Cash Management business environment both internally and externally. Ability to drive business results in alignment with strategic objectives
  • Drive and Motivation - Ability to demonstrate tenacity, focus, discipline and self impetus to accomplish results
184

SAP Fico Cash Management Consultant Resume Examples & Samples

  • Incident Management ticket creation, dispatch and resolution
  • System/Application monitoring and reporting
  • Execution of documented routine requests
  • Creation of templates for outline tasks
  • Compliance to account Service Level Agreements and IT Service Management processes
  • 5 – 8 years relevant experience in SAP FICO Cash Management
  • Proven track record of working in a fast-paced environment with multiple tasks and targets
  • Strong in service operations; ability to interface and manage internal and external stakeholders
  • University Degree in IT, Computer Science, Computer Engineering, Management Engineering or other related courses
185

Swift & Cash Management Business Analyst Resume Examples & Samples

  • Challenge both business and IT requirements in order to ensure they are consistent, relevant, and robust
  • Convert business requirements into Functional specifications
  • Prepare Functional Specifications and System Requirements
  • Make sure that design is aligned with Group policies and industry practices, as well as, Regulatory requirements
  • Give Walkthrough to product management for functional specification
  • Explain the functional specification to the development team and provide support to functional doubts
  • Write test cases and test the IT deliveries before users, in order to verify conformity to the specifications as well as, non-regression
  • Conduct qualification of releases, System Integrated testing, User Acceptance testing
  • Work closely with vendors and IT development teams to clarify and guide development teams on functional requirements
  • Prepare User guides, Business Cases, Training Material, Production Support procedures
  • Prepare Process flow document covering end to end process (using Visio or similar tool)
  • Provide functional support during user acceptance testing
  • Maintain up-to-date functional documentation of Payments and Cash Management products and systems for production support and projects
  • Provide Assistance to IT support teams in the investigation of production issues, and coordinate their resolution with software suppliers when necessary
  • Participate In the resolution of non-compliance situations revealed by audits and in the resolution of situation reviews
  • BS in Computer Science or Business Information systems or related IT field, or equivalent work experience required
  • Experience: 3-5 years of experience in Business Analysis
  • Experience with payment processing, check processing, ACH, EFT, lockbox, controlled disbursement, settlements and cash pooling/concentration, Fedwire, CHIPS, SWIFT
  • Skills in understanding of MONTRAN payment processing system is preferable
  • Fluent in written and verbal communication in English
  • Experienced with the documentation of software interfaces
  • Experienced with the documentation of business processes
  • Experienced in the design of the architecture of new applications or services
  • Possess strong problem-solving skills and good time management skills
  • Have the ability and interest to learn about new products
186

AVP Cash Management Corporate Banking Resume Examples & Samples

  • Work as part of the Global Cash Management legal team in managing and mitigating legal risk, proactively identifying legal risks, escalating to senior stakeholders and recommending and implementing solutions within the relevant business teams
  • Support the cash management product team and other corporate banking infrastructure teams involved in the development of new, and support of existing, cash management products in Corporate Banking. Meeting key stakeholders and understanding their key objectives
  • Business partner to the coverage teams, working with them to achieve the goals of our customers in the right way, as well as working with other infrastructure areas (e.g. Fraud, Compliance)
  • Supporting cash management projects, including regulatory programmes and forward-looking change projects
  • Legal support on other internal corporate banking projects, including remediation matters
  • Management of external counsel relationships, monitoring quality of service and acting as a liaison with the business
  • Manage, prioritise and complete workload within required timescales
  • Comply with internal policies, escalate risks (legal, compliance, operational), breaches and transaction level issues
  • Gain and maintain knowledge or market practice and regulatory environment generally, with particular focus on developments impacting Cash Management
  • Deliver training to the business and infrastructure functions
  • Maintain standard forms, precedents and templates up to date develop and maintain internal procedures and guidance notes
  • MI and risk reporting
  • Provide assistance on projects, including remediation matters
  • Manage external counsel
187

Cash Management Accountant Resume Examples & Samples

  • Responsible for ensuring all bank accounts are fully funded and any issues immediately investigated and reported to Cash Director
  • Responsible for daily bank reports and transaction recording in General Ledger
  • Report review per account and final distribution to Unit Directors
  • Daily Reconciling of Voucher amounts to templates
  • Responsible for Daily ACH, stop payments, voids
  • Monthly downloads of investment information from UMDF, UMCOR, and GBGM
  • Monthly reconciling and recording monthly journal entries for investment accounts
  • Work as back up to other cash management positions as needed
  • Respect and maintain confidentiality, parameters of operation, professional protocols, and individual privacy
  • High level of accuracy and interpersonal skills
  • Exercises control over efforts to achieve key results in support of agency mission and goals
  • Experience with Excel, Great Plains, and DDI helpful
  • Experience with multiple banking online treasury systems
  • Two years’ minimum in banking operations
  • Bachelor’s degree in Accounting, Finance with General Ledger accounting
  • Good communication skills to provide or exchange information that is readily understood
188

Treasury Cash Management Junior Analyst Resume Examples & Samples

  • To provide accurate and timely funding projections and, if needed, initiate liquidity transfers accordingly
  • Monitor Nostro Account balances and align reporting to Market Cut-offs
  • Effective communication with departments whose work is related to nostro cash management, including the Risk Treasury trading desk
  • Timely resolution of any reconciliation issues
  • Timely and effective escalation of all issues
  • Reconciliation of Nostro accounts
  • Claiming Interest costs from erring parties
  • Strong mathematical or analytical background
  • Experience in similar role is advantageous
  • Excellent spoken and written Hungarian
  • Good spoken and written German (Optional)
  • An understanding of the Corporate Treasury business would be highly beneficial
  • The candidate is expected to be dynamic, flexible and a quick learner as the business requires candidates to be able to learn and perform multiple functions parallel
  • Strong PC skills in Excel, Word and Outlook. Training will be provided on other systems used within this position
  • A desire to learn
  • Precision, keen attention to details
  • University/College degree in Accounting/Finance
189

Director of Cash Management Operations Resume Examples & Samples

  • Lead and manage Cash Management strategic operations to include client services, automated banking applications, and product management
  • Manage day to day operations for Cash Management Products (i.e. Remote Deposit Capture, ACH, Lockbox, Positive Pay, Online Payment Processing); ensure issues are resolved promptly and accurately, respond and communicate changes and solutions with Private Client Groups, Sales Team, and Senior Management
  • Lead by example, set clear roles, and provide direction to Cash Management Team; maintain a collaborative work environment, motivate for service excellence and responsiveness, manage performance, address employee relations, development and retention
  • Implement changes in workflow and ensure sound internal controls are in place; streamline and conduct risk-assessment of operational policies, procedures, and systems to ensure compliance with regulatory requirements
  • Operationally support new cash management products including implementation, testing, and product workflow; review and approve ACH and Controlled Disbursement documents
  • Act as primary contact for SOX, internal and external audits as they pertain to clients
  • Serve on internal Bank Committees, as needed; liaise with other areas of the Bank to ensure compliance and smooth department operations
  • 10+ years of progressive banking operations experience required; prior management experience
  • Deep exposure with Cash Management products (i.e. Remote Deposit Capture, ACH, Lockbox, Positive Pay, Online Banking, Wires, etc)
  • Strong leadership skills and ability to motivate, generate enthusiasm, mediate and maintain a collaborative work environment; leads by example with a high level of professionalism
  • Demonstrated integrity, tact, and diplomacy; strong communicator including interacting and influencing senior leaders
  • Diligent, organized, and works well under pressure; strong project management skills, able to multi-task, prioritize, meet deadlines, and manage changes with a positive can-do attitude
  • Bachelor’s degree in Business or equivalent experience required
190

AVP, Cash Management Operations Resume Examples & Samples

  • Identify and recommend opportunities to streamline cash management operation practices, cash forecasting, as well as bank relations practices and ensure changes to processes are integrated in a cost effective manner. These changes may include improving systems’ capabilities and functionality, efficiency gains around routine processes and procedures, and ongoing review of business unit proposals to amend collections and disbursement processes
  • Responsible for the implementation and execution of treasury-owned cash operations and bank relations policies and practices, as well as oversight of daily execution of cash transactions and cheque production. Continuously review business unit needs against the external marketplace as well as current and emerging trends within the financial services industry. Recommend changes to policies and practices as necessary
  • Oversee the work of direct/indirect reports to ensure consistent, high quality sustainable cash and payment settlement services to the business units. This objective is accomplished through strategic business relationships to optimize operational efficiency and adherence to Treasury policies
  • Support new North American product offerings by designing cashflow banking models and recommending appropriate banking products to support these initiatives, which requires strong influencing and negotiating skills at all levels of senior management, leveraging staff capabilities, and managing to generate standardized output
  • 10 years’ experience in Treasury Operations
  • Accounting designation (CPA) and/or treasury certification (CTM) and/or financial qualifications such as CFA/FRM
  • Knowledge and understanding of North American payment / settlement systems and/or treasury systems
  • Demonstrated influence and negotiation skills
  • Excellent people management skills required to direct staff in a wide variety of tasks, and across different locations
  • Strong communication skills required to interface with Business Units as well as external financial service providers. The role requires regular contact with other treasury areas, insurance divisions, investments, asset/liability management, systems, tax, and legal areas of the Company
  • Manulife looks for leaders who are committed to supporting and developing their employees. Successful leaders will affect performance and the achievement of organizational goals through others by building relationships of trust, fostering collaboration and promoting adaptability
191

Cash Management Operations Analyst Resume Examples & Samples

  • To support colleagues and business for new initiatives, developments and explore the opportunities to improve process & quality of work
  • Ensure adherence to Institutional and Regulatory policies & procedures and achieve highest level of rating in all audits conducted by local and IA teams
  • Gain knowledge of other products handled by the unit and develops as a strong backup for those products
  • Capable of resolving queries & investigations forwarded by internal & external customers
  • Support Unit Head in all related assignment & special projects
192

Cash Management Product Consultant Resume Examples & Samples

  • Individual will be responsible for supporting the sales force as a Treasury Management Products expert
  • Provide consultation to clients to help determine client needs and appropriate FRB TM Products and customizations/configurations as necessary, particularly for complex implementations
  • Must become fully versed in all FRB TM products and able to answer questions concerning product features and functionality, implementation, troubleshooting, and banker and client training. Products include but are not limited to Remote Deposit, Lockbox, Cash Vault, ACH, Wire Transfer, Merchant Services, and Bill Pay
  • Solicit feedback from bankers and clients to better understand product needs, including enhancements to existing FRB products as well as new products
  • Understanding of client banking platforms and solutions (i.e. ERP Systems) and how they interact with the Bank’s systems
  • Provide support on documentation for procedures, policies, project materials, client materials, and training materials as required
  • Strong client support skills with ability to think quickly to address client’s issues or concerns with patience and empathy
  • Banking and Treasury Management/Cash Management Product and Implementation experience
  • Excellent written and verbal communications skills, including the ability to work with various levels of management throughout the bank
  • Product Training facilitation experience; ability to train, troubleshoot, and follow-up with clients in person, via phone, or via email
  • Understanding of applicable BSA/AML and Compliance obligations as it relates to Treasury Management/Cash Management Products
  • Must possess strong interpersonal and organization skills, including the ability to work independently; attention to detail
  • Detailed understanding of the complete product lifecycle: Design>Development>Testing>Transition>Operation
  • Demonstrated ability to embrace and mirror First Republic Bank’s commitment and focus on the client and his/her needs
  • Proficient in Microsoft Office Suite, WebEx video-conferencing software
193

Senior Cash Management Client Manager Resume Examples & Samples

  • Independently collaborates with partners to expand and retain business clients who have treasury management needs
  • Own maintenance of cash management services to fully meet the needs of existing clients including project completion and tracking (e.g. product/service updates and upgrades; new service level introduction/enhancements, compliance projects, etc.) as well as necessary review of any existing services utilized
  • Prepare, deliver, and review agreements
  • Adhere to all Risk policies and procedures including ECP Risk Testing initiatives
  • Mentor and coach Client Managers on team
  • Independently initiate and conduct necessary research that may need to be done in conjunction with on-going client needs
  • Generate cross-sell leads to sales teams and take lead position in regular Client Management sales initiatives
  • Maintain a more significant or in depth portfolio/work load than that of a Treasury Client Manager
  • Partner with the Implementation Specialist Team on more complex client implementations
  • For more complex client implementations, will work with Client Implementation Specialist to manage the request for new product set-up, ensuring timely processing of Client Service Orders (CSO’s), verifying products are properly set-up in accordance with published service level agreements, providing technical support and training to clients concerning product usage and functionality and ensuring client satisfaction
  • Working with the Customer Account Maintenance (CAM) Group, open new DDA accounts field incoming client calls to effectively resolve questions, problems or concerns regarding account opening and/or maintenance requests within established service level agreements
  • Bachelor's Degree or similar work experience with 3 or more years of banking or cash management experience
  • Demonstrated success in a customer service environment
  • Possess strong independent analytical and data mining skills
  • Excellent verbal and written communication skills. Previous experience presenting to clients
  • Self-motivated and ability to participate effectively in a highly collaborative work team
  • Excellent organizational skills with the ability to set priorities and handle difficult situations while maintaining strong personal relationships
  • Detail oriented and ability to follow through
  • Proficient knowledge of Microsoft Office Programs including Word, Excel and PowerPoint
  • Demonstrated understanding of working capital
  • Capable of mentoring others
  • Expertise in areas of risk adherence
  • Demonstrates ability to actively engage management and others with innovative ideas to enhance team’s overall performance
  • Certified Cash Manager (CCM)/Certified Treasury Professional (CTP) preferred
194

Cash Management Business Analyst Resume Examples & Samples

  • Develop monthly domestic cash requirements forecast by day (based on historical trends and input received from the Finance teams) to be utilized by Corporate Treasury to estimate CBS’s total monthly/weekly/daily domestic cash borrowing requirements. Revise forecast each week based on actual activity and updated information and resubmit to Corporate. On a daily basis, provide Corporate Treasury with actual daily cash funding requirements
  • Analyze all receipts (incoming wires & ACHs, check deposits) to identify remitter and determine proper customer account or general ledger coding. Record all receipts into the Accounts Receivable System. Review and ensure that the daily lockbox receipts interface file agrees with actual receipts per the bank and properly posts to the Accounts Receivable System. Analyze and correct lockbox interface "rework" items
  • Initiate outgoing wire transfer and ACH payments via bank software. Analyze payment requests to ensure they are properly documented, authorized and approved prior to data entry. Forward request forms and supporting documentation (where necessary) to Corporate Treasury for final release. Maintain and distribute a detailed listing of outgoing electronic payments
  • Analyze and review daily bank activity reports to ensure expected transactions (e.g., check deposits, outgoing electronic payments) are properly posted to the bank accounts, all receipts are swept to Corporate and all disbursements are funded by Corporate
  • Prepare daily analysis of all cash receipts per bank, identifying trade receipts, NSF checks and the categorization of non-trade receipts (e.g., Sales, G&A, etc.). Research, investigate and resolve any discrepancies between the cash receipts analysis and cash receipts as identified by the Finance teams. Upon reconciliation, prepare a final cash receipts schedule by category and distribute. Prepare daily funding and bank transfer activity schedules and reconcile with Corporate Treasury at month-end. Research, investigate and resolve any differences. Upon reconciliation, prepare journal entries to record bank transfer activity in the General Ledger
  • Audit and process all requests received from Finance personnel to move cash receipts between customer accounts or general ledger accounts. Audit supporting documentation and initiate the payment process for the disbursement of company funds to SNI/SI LLC as repayment of commingled funds received by Showtime. Audit supporting documentation and initiate the payment process for the disbursement of company funds to CBS entities as payment of retransmission fees
  • Act as liaison with Corporate Treasury and banks. Interpret and communicate all Corporate Treasury requirements and polices to appropriate personnel and ensure consistent implementation. Amend bank signature authority files to meet company needs while ensuring internal controls are satisfied. Evaluate the continuing necessity of bank accounts and services and prepare paperwork to open, close and amend accounts as necessary. Establish and maintain solid working relationship and open communication with Corporate Treasury and bank personnel
  • Act as a back-up to Final Audit for printing checks, initiating employee and vendor direct deposit payments, and auditing voucher packages against supporting documentation to ensure all disbursements are properly supported, approved and in compliance with company policy
  • Obtain supporting documentation for payroll tax payments initiated by the Payroll Dept on our behalf and reconcile against actual disbursements per the daily bank reports. Research, investigate and resolve any discrepancies. Forward supporting documentation along with general ledger coding to Expense Mgmt team for entry into EnterpriseOne
  • Analyze various general ledger accounts including research and investigation of account transactions to determine validity and propriety. Prepare adjusting journal entries where necessary
  • Special projects completed and new initiatives implemented as requested
  • A minimum of two years of experience in a cash management or accounting position
  • Proficient with EnterpriseOne, or similar accounting system, banking platforms and Microsoft Office Suite (Word, Excel, and Access)
  • Bachelor’s degree in Accounting preferred. Strong analytical, reconciliation and reporting skills are required as is a working knowledge of financial controls, internal controls and banking controls
  • Ability to understand and interpret complex bank reports and banking instructions and act on the information provided is a must
  • Excellent organization and time management skills as well as the ability to prioritize requests are required to ensure that all tasks are accomplished in a timely and accurate manner
  • Excellent written and verbal communication skills accompanied by strong interpersonal skills are required as this position interacts with all Finance teams, Corporate Treasury, IT and Bank personnel
  • The ability to work in a team environment is a must
195

Treasury & Cash Management Project Manager Resume Examples & Samples

  • Lead and direct high priority projects impacting three or more businesses or functions, often requiring
  • Develop Project Plan, forecast and schedule. Work with stakeholders to record detailed project requirements, constraints and assumptions to establish project deliverables, using requirement-gathering techniques and the project charter
  • Ensure plans for assigned projects include work breakdown, project organization chart, cost/budget and communication, risk, quality and resource plans
  • Communicate project plans to affected parties to ensure a common understanding, set expectations and align stakeholders and project team members
  • Ensure execution of tasks defined in the project plan to achieve the project goals. Execute all parts of the project plan and manage the budget/forecast
196

Cash Management Operations Specialist Resume Examples & Samples

  • Complete online setups and maintenance for cash management customers including Treasury Banking Suite, Positive Pay, ACH Positive Pay, Remote Deposit, Wires and/or ACH
  • Effectively communicates relevant project information to superiors including difficult/sensitive information
  • Exercise discretion, strong interpersonal skills and independent judgment with respect to some of the most significant functions within the bank
  • Provide superior customer service to customers. This includes responding to customer inquiries, troubleshooting and resolving issues, and follow-up both by telephone and email
  • Act as a resource for internal customers
  • Must be able to work with complex banking transactions. Will also look for and identify possible risks and fraudulent activities to both customers and Great Western Bank
  • Cross train within multiple areas of operations
  • Ability to train fellow employees and oversee projects within the operations department
  • Assist with the management of simple to moderate project development including day to day operational aspects of a project from beginning to end
  • Perform other job-related duties or special projects as assigned
  • Two to five years of banking experience
  • Proven capability to complete accurate data entry/transaction processing
  • Experience with banking systems preferred
  • Leadership skills and capabilities
197

Project Manager / Consultant Cash Management Resume Examples & Samples

  • As Project Manager / Consultant Cash+ Management you are responsible for planning, coordinating and providing consulting services and workshops in the countries/regions and business lines/business areas. You are also responsible for agreeing a mandatory action catalog and implementation plan with the heads of the individual units with a view to optimizing the operating working capital
  • You actively support the countries/regions and business lines/business areas in implementing the agreed action
  • You are responsible for the monthly controlling of the most important KPIs (e.g. DSO, DIO, inventory turnover, cycle times) and for identifying improvement measures
  • You organize monthly conferences/meetings with the business lines and the most important countries to discuss the current situation and to decide on the next steps and any action to be taken
  • You provide support in implementing the contents of Healthineers-wide projects and in the further development of assigned processes along the CRM/SCM process chain, including rollout within the Cash+2020 framework
  • You are responsible for analyzing process deficiencies and for developing HC-wide success strategies, processes, benchmarks and initiatives to improve the CRM and SCM processes and the project management of the organization as a whole, applying the lean methodology as appropriate
  • Your tasks include the development of new consulting and problem-solving approaches and the further development of existing methods and tools. This also includes documenting, providing and communicating expertise and method-related knowledge as well as implementing best practice sharing and making the corresponding information available
  • You have a bachelor's or master's degree, ideally supplemented by an MBA or doctorate
  • You have an extensive professional track record, including at least 2-3 years in an operational role in an area such as sales, project management, production or supply chain management. You also have 2-3 years' consulting experience (as a management/in-house consultant for an industrial company)
  • You have demonstrated impressive presentation and facilitation skills at top management level on the international stage
  • You are experienced in designing and optimizing processes and are therefore familiar with the methods of continuous process improvement
  • You are well-versed in the application of analysis techniques and consulting methods, ideally with practical experience of lean and change management
  • You have business-fluent written and spoken English, and ideally a knowledge of German
  • On a personal level, you are a confident, decisive and proactive team player with a strong entrepreneurial mindset
198

Cash Management Supervisor Resume Examples & Samples

  • Daily Cash Positioning for North America and EMEA
  • Short-term cash forecasting
  • The EMEA physical pool and related reporting
  • Inter-company netting
  • Supervising, appraising performance of and coaching two cash management analysts
  • Miscellaneous special projects and other Treasury-related activities as required
  • Occasional domestic travel is required with the possibility of international travel
  • Must have a four year accounting or finance degree
  • Must have four plus years of treasury, banking, or cash management experience
  • Leadership and/or supervisory experience is a strong plus
  • Strong communication, organizational and interpersonal skills required
  • Must have working knowledge of an ERP (SAP, Oracle, Sage, etc.), Excel and banking systems; SAP is preferred
  • Ability to prioritize and maintain accuracy in a fast-paced environment
  • Must be willing to work non-traditional hours and an occasional holiday to accommodate global time zone needs
  • Proficiency in languages other than English is helpful
199

Cash Management Clerk Resume Examples & Samples

  • Performing weekly, urgent and ad-hoc payments
  • Following standard procedures to improve efficiency in funds transfers, cash disbursements, month-end account closing activities, and inter-departmental reporting
  • Preparing cash flow forecast and analyzing cash position
  • Resolving any issues related to foreign currency exchange
  • Taking a part in transition of cash management activities
  • Higher education (preferably Finance/Accounting/Economy)
  • Minimum 1 year experience in Cash Management/Treasury departments
  • Excellent communication skills (oral and written)
200

Cash Management Summer Internship Resume Examples & Samples

  • Read, comprehend and develop a dynamic timeline spanning the length of the internship that envelops the current cash management procedures and how we’ll bring them in good order
  • Work in a project manager type capacity interviewing, examining and listening to feedback from associates through senior leaders
  • Migrate away from archaic storage methodologies towards a new user interface which promotes version control, change management and overall governance
  • Microsoft Office (Word, Excel, Access, Visio, Power Point)
  • SharePoint; a plus
201

Cash Management Operations Director Resume Examples & Samples

  • Independently processing cash management product systems including account analysis statements, analysis counters and non-standard pricing
  • Set up, maintain and process Cash Management requests for Remote Deposit Capture, ACH, Wire Transfer, Positive Pay and other Treasury Management services
  • Process ACH Reg. E claims and recoveries
  • Supports regular risk reviews and audits of cash management products and provide operational reporting on same
  • Develop and maintain procedures and policies requiring knowledge of complex procedures and/or regulatory requirements
  • Works closely with Product Managers to ensure realization of revenue objectives for assigned products
  • Work closely with third party vendors and other systems to obtain billing files
  • Provide oversight and support for monthly billing, system releases, testing and quality control
  • Identifies Commercial Deposit product issues and provides resolution to potential problems
  • Nurtures open communication among various teams and departments
  • Assists with the preparation of customer facing and internal communications
202

Gaza-cash Management Accountant Resume Examples & Samples

  • Entering daily cash journal entries in the financial system
  • Entering the transactions in the financial system
  • Assisting in all cash management activities
  • 1 year of related experience, Fresh graduates are welcome to apply
  • Bachelor degree in Accounting or Finance, or an equivalent field
  • Strong Accounting basic skills and techniques
  • Details oriented and logical thinker
  • Planning and time management skills
  • Flexible in order to meet daily deadlines
  • Fluent in both Arabic and English language (written and spoken)
203

Senior Client Cash Management Representative Resume Examples & Samples

  • 1-3 Years global custody experience
  • Solid understanding of cash projections/availabilities and how day to day transactions affect cash and client deliverables
  • Ability to work quickly and accurately under pressure
  • Ability to multitask, prioritize assignments and work quickly in a deadline oriented environment
  • Proactively take on and learn new tasks
  • Desire to provide superior internal and external client service
  • Solid understanding of BBH systems and products a plus
204

Coordinator, Cash Management Resume Examples & Samples

  • Assist Supervisor/Manager with management of daily activities of Representatives Provides direction, guidance and coaching to team members
  • Train and develop the team to improve processes and efficiencies
  • Adapt procedures, processes, tools, equipment and technique to meet the requirements of all positions
  • Investigate all legal, executive and corporate inquiries/escalations; document for management review and action
  • Investigate or audit work completed by Representatives or potential red flag accounts and provide update to Department Leadership, to include call quality
  • Audit all pending adjustments and other billing system entries by Representatives Apply policies, procedures and practical application in resolving complex problems
  • Assists in distributing reports and updated information to department employees
  • Serves as backup to Lead in their absence
  • Conducts system testing, coordinates with vendors to include review vendor invoicing
  • Operational knowledge of Sales & Customer Service
  • Ability to make sound business decisions and multi-task in a fast paced environment
  • Knowledge of Microsoft Excel and Office a must
  • Experience partnering with leaders in other functional areas to drive change and improvement
  • Ability to interpret a variety of instructions furnished in written, oral, diagram, or schedule form
  • Knowledge of the ICOMS and CSG billing system, preferred
205

Cash Management Client Associate Resume Examples & Samples

  • Provide customer service, operational support and training to business clients for various cash management services (ACH, Online Banking, Lockbox, Remote Check Deposit, etc)
  • Assist with password changes, service changes, system help, add/delete users and accounts, etc; coordinate solutions with vendors
  • Set up business clients for cash management products and services; work directly with vendors for implementation of service to clients
  • Troubleshoot and promptly resolve client issues via phone and email; provide updates to clients and Private Client Groups
  • Review cash management set-up requests from clients and Private Client Groups; ensure proper documentation is provided
  • Assist with other projects as assigned
  • High School Diploma or equivalent required, College Degree a plus
  • Minimum 1 year experience with Cash Management Products or Banking preferred (i.e. ACH, Online Banking, Remote Check Deposit, Lockbox)
  • Knowledge of escrow accounts a plus
  • Ability to work well independently with limited supervision required
  • Customer service oriented with strong interpersonal skills; able to respond promptly to client needs, follow through and resolve issues in a pleasant and helpful manner
  • Proactive, detailed oriented, organized and dedicated professional
  • Good time management skills; able to prioritize and multi-task
  • Proficiency in Microsoft Office required (Excel, Outlook, Word, Access)
206

Cash Management Operations Senior Specialist Resume Examples & Samples

  • Effectively verbal and written communication skills
  • Ability to adapt to change
  • Ability to work independently as well as in a team
  • Ability to problem solve, articulate requirements and escalate when necessary
  • Strong attention to detail with a high degree of accuracy and consistency
  • Executes given tasks timely and accurately
207

Analyst Invoice to Cash / Cash Management Resume Examples & Samples

  • To execute all debt collection activity for an assigned portfolio of customers in
  • Working towards a related professional certification
  • Fluent in English. Multilingual an asset
  • Member of ICM (Institute of Credit Management) an asset
  • Prior 2+ years in billing, debt collection or customer service
  • International Debt collection or Customer Billing experience an advantage
  • Very good understanding of SITA billing system and processes
  • Advanced user of MS Excel to manipulate & consolidate debtor or billing data
  • Knowledge of other desktop software, particularly MS Office, Lotus Notes
  • Knowledge of Business Objects reporting
  • Good understanding of products, services and tariffs
  • Ability to work within a high-pressure environment with stretching targets
  • Proven customer service skills
  • Strong relationship management skills and able to work across culturally
208

Director, Banking & Cash Management Resume Examples & Samples

  • Partnering with Global Treasury, develop and implement strategies to enhance cash flow and cash controls for Marriott International managed hotels and administrative units
  • Ensure Banking and Cash Management processes are in accordance with Marriott International policies, Marriott and BPO Service Provider procedures, and internal control standards
  • Oversee all activities that relate to the Banking & Cash Management process, including
  • Minimum 8 years working in the finance area of a mid-size or large corporation, in particular, managing cash flow, investment practices, and banking relationships In a multi-unit environment
  • Minimum 5 years experience in a management role; demonstrated success leading and developing a strong organization and workforce in a complex, service-intensive, deadline-driven environment
  • Broad knowledge of Marriott hotel and administrative accounting and finance processes and systems, especially PeopleSoft Financials
  • Knowledge of generally accepted finance and accounting policies, principles and controls
  • Knowledge of Marriott International internal control and security requirements, including SSAE 16 and Sarbanes-Oxley
  • Strong business acumen and service orientation
  • Solid qualitative and quantitative analytical skills; ability to take large volumes of complex information and present it in a clear and concise manner
  • Ability to manage multiple projects, and work both independently and as part of a team to include leading 1-2 staff on a project
  • Excellent interpersonal skills; able to maintain effective relationships with internal and external customers
  • Solid leader of people; ability to translate business priorities into actionable goals and objectives for staff; ability to motivate and develop staff
  • Responsive; able to integrate and balance priorities, work activities and resources for the benefit of multiple key stakeholders
  • Able to work in a matrix organization and make things happen without having to own all the resources; leverages shared resources to achieve results
  • Able to consistently make decisions in a timely manner sometimes with incomplete information and under tight deadlines and pressure. Comfortable challenging organizational norms and accepted thinking to improve effectiveness
209

Coordinator, Global Cash Management Resume Examples & Samples

  • Responsible for managing the documentation process related to opening and closing bank accounts world-wide, including coordination with internal clients and banks, handling of KYC information and signature cards, and completion of bank account setup forms
  • Input, update and maintain bank account information in bank account management system and ensure all account activity uploads accurately into treasury workstation
  • Maintain and mange bank account documentation via an online repository and physical folders/ hard copies
  • Assist business units with opening and closing bank accounts, signatory changes and other banking services requests
  • Assist with special projects as needed and some administrative duties
  • Strong computer skills, including proficiency in Microsoft Word, Excel
  • Excellent communication (written and verbal), analytical and interpersonal skills
  • Good customer service
  • Retail banking experience or experience in corporate cash management/treasury function
210

Accounting Supervisor Cash Management Resume Examples & Samples

  • You will plan, coordinate, and supervise the accounting services provided that are performed as per agreed Service catalogue
  • You will supervise monthly and quarterly close activities to ensure accuracy and timely completion, which meets set KPIs
  • You will participate and initiate process improvement projects within Global Business Services
  • You will be responsible for internal control compliance and proper accounting treatment according to Cargill policies and GAAP
  • You will lead cross trainings of more junior associates and new team members
  • You will build supportive relationships with peers, colleagues, and promote team environment
  • You will handle the performance process for the team /plan, targets set up, measures, review and follow-up
  • You will be responsible for performance process for the team /plan, targets set up, measures, review and follow-up
  • Minimum 6 years of experience in finance operation with good expertise in Record to Report group and related Finance processes
  • Minimum 3 years of previous experience in leading teams
  • Experience of working in shared service operations
  • Possess appropriate knowledge and technical proficiency in financial and accounting areas together with having good systems understanding
  • Experience with bimonetary accounting (USGAAP and local GAAP) and end to end process knowledge on RTR
  • Experience working across countries and cultures
  • Demonstrated ability to identify and resolve conflict in an effective and timely manner
  • Strong Commitment to internal control
  • Self-starter with good MS-office skills
  • Working Knowledge of ERP (JDE/SAP) would be preferred
  • Motivated for continuous improvement and demonstrate strong analytical skills
  • Leadership skills and team attitude
  • Additional language skills (Spanish, Italian, French, Polish, etc.)
211

Cash Management Accountant Resume Examples & Samples

  • Manage in compiling, analyzing and processing all cash receipts
  • Interact with other departments to ensure accuracy and understanding of their entries
  • Perform accounting research and keep department informed of changes
  • Participate in process review and recommendations
  • Conduct project compliance and financial audits as required ensuring standards are being met
  • Assist in the completion of all monthly Bank Reconciliation and making sure all reconciling items are resolved
  • Notify the Project Accountants on incoming payments related to their projects
  • Bring to the attention of the Cash Manager any areas of potential profitability or risk
  • Special projects as requested by the Cash Manager
  • Proficiency in all MS Office tools including Excel with knowledge of formulas, vlookups, pivot tables, etc
  • Experience in Accounts Receivable and/or Cash Management is required
  • Excellent interpersonal and Strong analytical skills
  • Ability to maintain a high level of accuracy in preparing and entering financial information
  • Ability to organize, prioritize work and handle multiple tasks simultaneously in a fast paced, diverse and growth-oriented environment
  • Associate or Bachelor of Science in Accounting (Diploma in Accounting and 7+ years of experience will be acceptable)
  • 5-7 years general accounting experience (Journal Entries, Reconciliations, Reporting)
  • Experience in an integrated accounting system - JD Edwards / ERP8 experience helpful
  • Knowledge of banking resolution websites-Bank of America CashPro Online portal is a plus
212

Treasury & Cash Management Process Lead Resume Examples & Samples

  • Act as the TCM process lead within the NGSC and become a member of the NGSC Leadership team
  • Role model as senior specialist coaching and supporting team members of own team and/or other NGSC teams
  • Set clear objectives to the TCM team in line with FRA Ops and Group Treasury strategy
  • Serve as a Subject Matter Expert for related policies and processes, drive productivity and continuous improvement, process changes and leading practices to ensure efficient and effective execution of cash management, cash forecasting, cash reconciliation and payment activities in the NGSC
  • Coordinate, plan, review operations with in country stakeholders, IHB team, and Group stakeholders to ensure integration, efficiency/effectiveness of the operations as well as an excellent quality of communication. Performance Management and Service Delivery
  • MBA desirable
  • Excellent English (written and spoken)
  • 8+ years of financial experience, with in-depth functional expertise
  • In depth knowledge of Cash Management and Payment processes
  • Experience of managing projects driving performance (e.g. ERP implementation)
213

Finance Analyst, Cash Management Resume Examples & Samples

  • 2) Responsibilities / Accountabilities
  • Participate in all reporting, planning and budgeting of Cash and Financing activities, including the monitoring of all wire payments and settlements with affiliated companies (60% of time)
  • Monitoring working capital and making recommendations for optimization (30% of time)
  • Special projects and ad-hoc requests (10% of time)
  • 3) Nature & Scope (Including Dimensions)
  • 4) Requirements
  • 5) Working Conditions
214

Cash Management Team Member Resume Examples & Samples

  • Approve and authorise Accounts Payable payment runs to deadline using forecasts and customer input where necessary
  • Responsible for the daily reconciliation of cashbook ensuring General Ledger reconciles with cashbook, bank statement and cash management module
  • Authorise CHAPS/fast payments within the manual payments form ensuring they are recorded in either Accounts Payable system or direct to General Ledger
  • Administer Pension payments using either the pensions on-line system or manual process, ensuring payment is made to deadline and payment reconciled correctly in Oracle
215

Gtb-corporate Cash Management Resume Examples & Samples

  • Strict obedience to the cost control policy
  • Understand and comply with regulations and internal policies to ensure no deviation to each compliance requirement
  • To build up Deutsche Bank TFCMC market profile by organizing or participating in various marketing events
  • To provide feedback on client needs to TFCMC product management. To work with the Implementation & Service team and Operation Team responsible for all post sales activities, delivering the promised solutions in professional manners and providing first class service to clients
  • To assist China TFCMC MNC head in planning and administrative responsibilities and build up a performance driven working atmosphere
  • Computer literate. Knowledge of Microsoft software packages (Word, Excel etc)
  • Strong leadership and interpersonal skills as well as a team player with strong influential skill that can motivate other team members to achieve the business objective
  • Excellent presentation skills, strong selling skills and customer service skills including but not limited to communication skill and negotiation skill
  • Strong written and spoken English, local language capability
  • Self-confident and performance driven. Ability to work independently under pressure and work persistently
  • Ability to articulate, formulate and deliver high quality presentation and communicate with all levels of management
  • Ability to make decisions, influence other and work in co-operative manner and find resolution to product needs
  • Strong appreciation of operations processes and procedures, and understanding of accounting
  • Familiar with the regulatory environment concerning financial industry in China
216

Gold Cash Management Executive Resume Examples & Samples

  • Organisational and planning skills and a desire to learn and progress
  • It is preferred (but not essential) that you have an understanding of Internet Banking/BACSTEL-IP and/or Cash & Cheque Products and payment processes such as 3-day BACS processing cycle or FX deals
  • Outcome: We will keep you updated throughout the process. If you attend an interview, we'll be in touch within five working days of all interviews being completed to advise you of the outcome
217

Cash Management Accountant Resume Examples & Samples

  • Degree level qualification preferred
  • At least 2 years relevant experience as a Treasury Analyst in financial services is essential
  • Accounts Receivable and cash posting experience preferred
  • Experience with Oracle accounting system is a plus
  • Must be proficient in Microsoft Excel and Outlook
218

Mgr, Cash Management Resume Examples & Samples

  • Monitoring daily cash management transactions, reports on cash operations activities and executes investing and borrowing transactions
  • Performs daily corporate cash management activities, executes funds movement transactions, ensures adequate liquidity and approval of journal cash-related entries
  • Bank systems and account access administration; monitors monthly bank fees and usage levels
  • Manages monthly close cycle process; prepares reporting schedules, ensures compliance with SOX and regulatory requirements
  • Implementation and administration of automated investment reporting solution
  • Manages Schedule D investments preparation required for statutory reporting
  • Recommends cash management policies, updates cash and investment SOX narratives as necessary
  • Manages team of Treasury Analysts
  • Required A Bachelor's Degree in a related field
  • Preferred A Master's Degree in a related field
  • Required 6+ years of experience in of relevant experience, preferably in public accounting, publicly- traded company or financial institution
  • Required 2+ years of experience in Supervisory experience
  • Required 3+ years of experience in Treasury services and accounting in a corporate setting
  • Required Intermediate Other banking systems and/or treasury interfaces
  • Required Advanced Microsoft Outlook
  • Required Advanced Microsoft Excel
  • Required Advanced Microsoft Word
219

Cash Management Administrator Resume Examples & Samples

  • Perform receipt and payment monitoring which includes but not limited to updating bank credit, coordinating with the bank for receipt identification, and checking cleared & posted payments
  • Prepare monthly balance sheet accounts reconciliation and identify & analyse resulting variances
  • Prepare daily cash position for distribution to team and UK stakeholders
  • Confirm fund availability for payment runs
  • Perform spot purchase for funding regional accounts and currency sale for selling excess currencies
  • Coordinate fund transfer to pool funds into Main bank accounts for funding requirements
  • Participate in and perform special tasks and projects that may be assigned
  • Formal Education and/or Certification: Graduate of any Business related course preferably Accountancy
  • Length and Type of Job Relevant Experience: One to two (1 - 2) years of experience in cash management, bank relations, and account reconciliation
220

Senior Treasury Analyst, Cash Management Resume Examples & Samples

  • Perform daily cash positioning activities, including developing daily cash position, managing daily liquidity, performing prior-day cash position reconciliation, and monitoring bank reporting
  • Identify short-term funding requirements and surplus cash available for investments
  • Perform management reporting activities, including analysis required to develop quarterly financial supplement
  • Support treasury initiatives
  • 6+ years of related treasury or finance experience in the insurance or financial services industry
  • In Depth Knowledge of cash management principles, tools, and techniques
  • Strong computer skills with experience using MS Excel modeling and MS PowerPoint
  • Analytical, interpersonal, communications, time management, and project management skills
  • Insurance industry experience preferred
  • 61722
221

Cash Management Resume Examples & Samples

  • Accurately forecast, efficiently fund, analyse and report on daily currency and legal entity liquidity requirements
  • Manage intra-day liquidity requirements including real time cash positions at Agent banks
  • Maintain stakeholder relationships. Emphasis is placed on the candidate?s ability to establish and maintain Firm-wide relationships in order to deliver our core liquidity and change agenda
  • Close interaction with Corporate Treasury and business areas to analyse liquidity requirements, understanding front to back transactional flow, driving down volatility and the impact on liquidity where possible, to ensure optimum cost effectiveness of settlement
  • Respond to requests from Regulators and working collaboratively across business units to pull required information and data
  • Demonstrating risk ownership, mitigation and clear lines of escalation with an opportunity to assume supervisory control across all functions performed by the team
  • Active participation in change the bank initiatives and technology projects
  • Attention to detail and ability to retain focus, be dynamic to changing funding requirements intra-day
  • Risk management: understanding of operational risk and appetite to mitigate
222

Senior Analyst, Cash Management Resume Examples & Samples

  • Maintain Treasury workstation and banking systems to generate daily cash position reports, interest payments and interest accruals for review and analysis; approval of electronic fund transfers and verification of interest payments
  • Execute short-term borrowing transactions including the issuance and recording of commercial paper and the issuance of letters of credit and the related reporting and payment of LC charges allocated to operating companies. Execute Parent Guarantees in support of operations
  • Coordinate cash forecasting in conjunction with operating companies
223

Cash Management Administrator Resume Examples & Samples

  • Full service General Accounting duties, with a focus on cash management, including monthly payments preparations, bank reconciliations, cash management reconciliations, cash flow analysis and coordination of funding requirements for 10+ companies across Europe and Middle East
  • Be first point of contact for the business related to day-to-day payments- and banking issues; frequent contact with our bank account managers across EMEA
  • Reconcile general ledger accounts and participate in balance sheet reviews and justifications
  • Perform varies quarter end duties, including the preparation of working papers for auditors
  • Participate in process improvements projects and improve efficiencies in the cash management area; document processes if needed and maintain our cash records
  • Exercise ethical and objective judgment skills; maintain good quality of service to customers
  • Perform other various accounting duties as required from time to time
  • Other activities ; as it comes
224

Gtb-corporate Cash Management Resume Examples & Samples

  • To build up Deutsche Bank CCM market profile by organizing or participating in various marketing events
  • To provide feedback on client needs to CCM product management. To work with the Implementation & Service team and Operation Team responsible for all post sales activities, delivering the promised solutions in professional manners and providing first class service to clients
  • To assist China CCM Sales head in planning and administrative responsibilities and build up a performance driven working atmosphere
225

RTR Global Process Manager Cash Management Resume Examples & Samples

  • 50% Define, monitor and manage E2E Cash Management strategies liaising with stakeholders in the Treasury organization
  • The CM GPM will work closely with Corporate Treasury to define the ‘To Be’ scope of the Cash Management processes within CBS Finance and actively monitor migrations of activities to ensure target levels of penetration are delivered
  • The CM GPM will establish time and quality standards based on external benchmarks and develop and deliver a top quartile Cash Management process
  • The CM GPM will ensure that the process design and application is suitable to meet both short term and long term expectations of key stakeholders, including control design and audit readiness, management of risk, metric design, knowledge management, performance and target setting
  • 25% Drive Continuous Improvement of the End to End Process (CI) to achieve efficiencies, reduce costs and enable growth
  • The role looks to continually drive efficiency and will own the CI pipeline as well as supporting the data agenda. He or she will work with IT/Systems experts to make the most of existing tools and influence the capability of next generation tools
  • The CM GPM will own the Standard Global Cash Management processes. He or she will work with other GPMs to understand and respond to changes in the broader environment, building an extensive network to influence senior leaders in Finance and beyond who impact the CM processes, data, systems or controls
  • Management of key internal and external stakeholders (e.g. Corporate Treasury, Banks, associated process GPMs and CBS Finance Leaders)
  • This role will be a key thought leader in developing Treasury expertise and competency within CBS Finance ensuring that the team has the right mix of skills required to deliver high quality outputs
  • 10+ Years treasury/cash management/accounting operations experience
  • Experience in a large scale global organization
  • Bachelor’s degree or similar qualification in Accounting, required
  • 5 -10 years’ experience in managing a treasury related process in an organization with similar operational scale and geographic footprint
  • Experience in transformational projects, preferably the transformation of finance and the implementation of a shared service network, preferred
  • Experience in global matrix organization, and experience working in different geographical areas and across enterprise-wide functions
  • Passion for driving continuous improvement with clear evidence of same in professional or business background
  • Demonstrated experience in process management
  • Strong project management or operating rigor are essential for this role given the strong focus on process
  • Demonstrated ability to influence at all levels of the organization delivering recommendations in a persuasive and thoughtful manner
  • Ability to combine strategic vision with tactical detail
  • Proven track record of talent development, building and empowering diverse teams
  • Master of Business Administration or Finance is preferred
  • Process Re-engineering or Six Sigma or Lean Six Sigma experience
  • Ability to flex from leading high level discussions to working appropriately in the details or leading “deep dives” when required
226

Cash Management Risk Management Specialist Resume Examples & Samples

  • Responsible for the routine review of approved risk exposures to ensure that the approved amounts are maintained accurately and consistently within the various applications, to include business online banking and multiple Fiserv applications. In addition will be responsible for validating the completion of the various regulatory requirements such as CIP, CDD and OFAC. Will coordinate with department's Customer Support and Sales units to ensure that any exceptions are reviewed and remediated in a timely manner
  • Will research information and develop responses to the audit reports/findings for Cash Management department. Audit projects may remain open for an extended period of time and will require the review of a substantial amount of customer information, documentation, transaction history and correspondence
  • Will research and compile information for the various BSA, Risk Management and Compliance reporting requirements that impact Cash Management. As part of this requirement, will conduct data validation and will prepare detailed reports and/or summaries of the information requested by BSA, Risk Management and/or Compliance
  • Responsible for the daily monitoring of transactions processed through the business online banking application. Exceptions flagged by the risk management feature within the business online banking application will be reviewed and, as required by policy, the customer will be contacted to validate the authenticity of the transactions. In addition will provide support in testing the risk management feature to ensure appropriate quality
  • Responsible for the routine monitoring of process exceptions to ensure that appropriate review has been conducted and necessary approvals have been obtained. This will include a review of legal documentation to ensure that authorized persons have executed agreements on behalf of the customer
  • 1 or more years Banking and analytics. (Preferred)
  • 1 or more years Extensive knowledge of Microsoft Word , Outlook, and Microsoft Access. (Preferred)
227

Cash Management Account Analysis Associate Resume Examples & Samples

  • Miscellaneous XAA maintenance tasks, including but not limited to exception pricing and account relationship restructuring
  • Partner with other Cash Management and BOW team members to resolve customer billing rejects
  • Responsible for Accounts Receivable (invoicing process) including past due tracking
  • Prepare various monthly billing files
  • Process GL entries
  • Responsible for manual Cash Management billings
  • Responsible for validation of various ISView reports
  • Prepare and distribute miscellaneous monthly reports to Sales Team
  • Role related inquiries resolution
  • Strong analytical, detail oriented, and problem solving skills with a high degree of accuracy
  • Ability to manage time effectively, set priorities, and meet deadlines
  • Strong working knowledge of Microsoft Office Excel
  • Good experience and knowledge concerning cash (treasury) management products and processes a plus
  • Key Product Areas Managed Under This Role 
228

Cash Management Resume Examples & Samples

  • Executing and controlling payment services together with BO Paris and providing high quality customer help desk services
  • Providing the necessary reconciliation tasks. Those tasks include but are not limited to: Manual Transfers, Social Security and Tax Payments and processing and reconciliation of Cheques. 
  • Executing and controlling implementation of corporate cash management services for PCM customers, including proper follow up on KYC, Account Opening processes, facilities implementation and credit exposure management, client account management conditions set up, etc 
  • Ensure proper follow up on Anti Money Laundering requirements  Supporting the commercial activities of the FO including : i) drafting of contracts for credit facilities (Overdrafts Domestic Guarantees) and PCM Services (Cash Pool, Electronic Banking Tools, etc); ii) provide client support in day do day queries; iii) identifying sales opportunities 
  • Following up on delegated operational cash management issues with the BO and product team in Paris and FO. I.e SWIFT, CMI, c/a management, billing, European proposals etc. 
  • Head Office Reporting and Permanent Supervision Requirements.  Domestic guarantees issuance and portfolio management: word reviewing and negation of new transactions, coordination with BO Paris for Central Booking, follow up on existing portfolio in terms of commissions paid by clients and limits utilization.  - - Other tasks related to PCM MO responsibilities and processes - Job being supervised by Head of PCM MO on a daily basis, under procedures and guidance in place
  • 1 to 3 years of relevant experience in Cash Managemement, Treasury, Middle Office or similar
  • Degree in Business Administration, Economics or similar
  • Fluent in English/French is a plus
  • Good marketing/selling skills. The candidate is expected to be dynamic and to be able to contribute to build and influence new business relationships through the operational tasks
229

Cash Management Product Manager Resume Examples & Samples

  • Implement, design and manage new/existing cash management products and services for Signature Bank clients (i.e. Escrow, Account Reconciliation, ACH, etc..)
  • Coordinate operations support for new products, conduct testing, create forms and write procedures;prepare and make recommendations for set-ups, improvements, and special requests
  • Ensure conversions are handled timely and effectively, establish time frames and project plans to meet deadlines
  • Negotiate vendor contracts for new services and expiring contracts; coordinate vendor approval process with Legal, Compliance, Private Client Groups, etc
  • Troubleshoot, analyze and resolve complex product issues; train Sales, Implementation and Customer Service on cash management products
  • Remain knowledgeable of any banking and regulatory changes that may affect cash management products and services
  • Visit clients as needed with Sales staff and Private Client Groups to develop relationship and understand product needs
  • 5+ years of relevant experience with Cash Management Products/Services required (i.e. Account Reconciliation, ACH, Escrow, etc)
  • Experience implementing, testing, and handling conversions highly preferred
  • Organized and focused to drive meaningful results, process improvements, manage complexity, and meet operational deadlines
  • Strong project management skills with ability to handle multiple projects
  • Excellent client services skills, time management skills and a keen eye for details
  • Must have excellent interpersonal and communication skills (verbal/written)
  • Proficiency in Microsoft Office required (Excel, Word, PowerPoint)
  • Must be able to work independently with moderate supervision
  • High School Diploma or GED required, College Degree preferred
230

Senior Lead Cash Management Resume Examples & Samples

  • Works with Relationship Managers and individually develops prospects for New Business through the sale of Cash Management solutions designed to meet client needs within assigned geography or business segment. Assists RM's with pre-qualifying prospects with Cash Management needs. Collaborate with RM's to stay up to date on client relationships and maintain fluid communication with internal partners to provide seamless service to clients
  • Manages and cross sells to a portfolio of existing Cash Management clients, conducting relationship reveiws with top clients no less than annually. Serves as the main Cash Management client contact. Identifies additional cross sell Cash Management solutions
  • Utilizes formal and informal leadership to direct and lead within department and across departments
  • Requires mastery level knowledge of job area typically obtained through advanced education combined with experience. May have deep knowledge of project management
  • Requires 10 years minimum prior relevant experience
  • Some knowledge of basic commercial credit analysis and practices
  • Strong written and verbal communication skills 
  • For Cash Management Sales Consultants focused on the international market, duties and responsibilities are similar to those assigned to domestic markets except for the following
  • Serve as the main Cash Management point of contact for One Bank Referrals within assigned client group
  • Formulate apporiate International and Domestic Cash Management solutions for clients and prospects
  • Serve as a reference point for Cash Management Consultants within BOTW
231

Cash Management Product Mgmt, Mgr Senior Resume Examples & Samples

  • Strategy development, communication and execution includes thought leadership, frequent attendance at and presentations to client and industry conferences and gatherings, authoring and publishing of thought leadership in the area of product family expertise and membership/representation in select associations and industry groups
  • Commercialization includes subject matter expertise in support of sales, developing and conducting product training, developing and maintaining product documentation including legal documentation, including up to date web site content, developing and maintaining sales and marketing collateral
  • Bachelor’s Degree in Business or Marketing - Required
  • Master’s/Advanced Degree in Business or Marketing - Preferred
  • Required License(s) or Certifications in CTP - Preferred
  • Requires broad management knowledge to lead project teams in one department. Typically has mastery level knowledge and skills within a specific technical or professional discipline with broad understanding of other areas within the job function
  • Requires 10-12 years minimum prior relevant experience. 
  • Key Product Areas Managed Under This Role
232

Cash Management Resume Examples & Samples

  • Fostering critical relationships with Corporate Treasury and the short term Capital Markets team
  • Liquidity Reporting and Analytics
  • We expect that likely candidates may have developed the necessary competencies in a similar role over a 3-5 year period
233

Cash Management Financial Analyst Resume Examples & Samples

  • Identifies and understands issues, problems, and opportunities; compares data from different sources to draw conclusions; uses effective approaches for choosing course of action or developing appropriate solutions; takes action that is consistent with available facts, constraints, and probable consequences. (Professional Judgment)
  • Compiles, organizes and formats data, including qualitative analysis required for internal and external reporting. Identifies and researches reporting issues, provides recommendations, assists with the adoption of new reporting requirements. (Reporting)
  • Recognizes situations where the regulatory framework and rate case outcomes drive our business; Supports regulatory initiatives by gathering data and preparing regulatory schedules and/or preparing pro-forma calculations, testimony and data requests; Assists with review and analysis of regulatory documents; Appreciates the application of the regulatory construct to our business. (Regulatory)
  • Understands terminology and developments. Knows when to and can apply technical knowledge to processes, procedures, and tasks. (Technical/Professional Knowledge and Skills)
  • Demonstrates a working knowledge of financial statements, metrics and measures, and key strategic business initiatives; Understands and utilizes economic and industry data as it relates to job responsibilities. (Business Acumen)
  • Demonstrates a working knowledge of the operating plan and role in the FA organization; Has a general knowledge of other departments role in the FA organization; Collaboratively develops solutions between corporate and business units. (Understanding FA)
  • Demonstrates our commitment to quality by documenting work fully and accurately. (Documentation of Work Performed)
  • Takes action to identify, analyze and improve existing processes within our organization to maximize opportunities for efficiency and effectiveness and meet new goals and objectives. (Continuous Process Improvement)
234

CIB Treasury Services Cash Management Product Manager Resume Examples & Samples

  • Responsible for country’s product P&L and performance
  • Manage the product roll out and work with country, regional or global partners to ensure local needs or regulatory guidelines are met
  • Support country, regional or global sales to drive revenue, maintain service and competitive advantage
  • Review current offerings with view to improve and innovate products and refine processes
  • Drive process and product consistency with other locations
  • Have a good understanding of risk attributes of each product
  • Develop new product solutions for our target client segments
  • Work with regional teams to ensure core and/or advanced capabilities are in line with regional strategy
  • Initiate, support and drive country solutions which could be leveraged across the region
  • Strategize and execute programs to deepen our relationship with clients and identify cross-sell opportunities
  • Work with Bankers / Sales with any required client pitching activities
  • At least 8-10 years of relevant experience in cash management and/or electronic banking products/solutions
  • Good knowledge of cash management products with a comfortable grasp of technology and operations
  • Strong in project management with a proven track record of managing and delivering projects
  • Experience in complex deal solving, working with sales and is comfortable meeting with corporate clients
  • Strong analytical skills and good with numbers
  • Energetic self-starter with ability to multi-task and interface with different stakeholders to deliver products objectives
  • Strong influencing and communication skills, a mature self-motivated team player
235

Cash Management Professional Resume Examples & Samples

  • Support the daily cash positioning, forecasting and reconciliation process, ensuring adequate liquidity is available daily to meet the business wide needs
  • Executing financial transactions such as money markets and fx settlements
  • Conduct cash forecasting including variance analysis by partnering with individuals in the various business units and departments throughout the organization to provide timely and accurate forecasts on a regular basis
  • Monitor Intercompany positions ensuring all activity is tracked and reported correctly
  • Monitor entities cash balances and provide analysis and recommendation based on potential activity
  • Distribute information/reports to various teams within the company and address any follow up queries on a timely basis
  • Support the In House Bank process, look to improve efficiency and address queries from the business or external banking partners on a timely basis
  • Intercompany, Factoring and Global financing programme transactions
  • Partner with Global counterparts to ensure all cross region activity is managed effectively and efficiently
  • Support relationship with global banking partners ensuring all issues are addressed or escalated as appropriate and support the review and negotiation of bank charges
  • Support various Treasury Operations projects through collaboration across a variety of functions including Finance, IT, Global Treasury etc
  • Drive standardisation, globalisation and automation of processes
  • Ensure adherence to all Treasury policies and controls
  • Ensure procedure documentation, Standard Operating Procedures, and Business Continuity Plan (BCP) are proactively maintained and kept up to date
  • Escalate issues as necessary and contribute to addressing service issues with internal and external customers, banks and counterparties
  • Partner with other areas of Treasury, and the business to deliver best-in-class Treasury Operations services
  • 2/3 years experience
  • Strong Financial background (3rd Level Finance Qualification)
  • Proficient in Microsoft office specifically Excel and Word
  • Strong analytical skills and be able to work independently and with a team
  • Experience in a corporate Treasury or Cash Management environment is an advantage
236

Senior Cash Management Representative Resume Examples & Samples

  • Monitor volume of reversal requests and disseminate workload accordingly to meet established cycle time
  • Monitor volume of payoff reversal requests and disseminate workload accordingly to meet established cycle time
  • Support training initiatives for new and existing employees
  • Ensure timely resolution of all bank advices, returned items, debit/credit adjustments, stale dated checks received
  • Resolve more complex bank advices, reversals, returned items, debit/credit adjustments, stale dated checks, etc
  • Update weekly and monthly returned item activity reports and issues to management
  • Post payments for subserviced loans and function as the primary contact for the servicer
  • Support communication of policy updates, trends and aged items
  • Minimum of two years of experience in mortgage banking required
  • 10 key data entry skills
  • Well organized, paying close attention to detail
237

Student Assistant to Join Cash Management Resume Examples & Samples

  • Assisting in various aspects of cash management and liquidity related tasks
  • Assisting with account opening/ account closing process
  • Assisting with intercompany loans and ensure these are updated in our treasury system
  • Assisting in calculating and pricing our intercompany loans and guarantees, ensuring the information is constantly up to date
  • Assisting with analysis and projects related to liquidity forecasting, cash optimizing and re-banking
  • You have an analytical and problem solving approach
  • You are service-minded as you will be working with quite a number of stakeholders
  • You have a particular eye for detail and take pride in delivering quality work on time
  • You bring a positive spirit and do not mind chipping in when others in the team need assistance
  • You are curious to learn about managing cash and liquidity planning in a global corporate
  • You are an experienced user of Microsoft Office, especially in Excel and PowerPoint
  • You are highly reliable with a flexible approach to whatever work you undertake and able to prioritize and organize your workload
238

Cash Management, Representative Resume Examples & Samples

  • Review unapplied funds report and allocate trustee and bankruptcy funds to appropriate categories based on loan status
  • Print and disseminate daily workload reports
  • Apply funds based on appropriate suspense categories following appropriate trustee and bankruptcy payment hierarchy rules
  • Provide ad hoc support for the Cash Management Payment team as required
  • Experience with bankruptcy and trustee payment applications preferred
  • Ability to meet the needs of internal and external customers by delivering high quality service
  • Rapidly adapts to changing information, conditions and/or unexpected obstacles
239

Cash Management Operations Specialist Resume Examples & Samples

  • Responsible for maintaining department specific systems. Will monitor the daily reports for high and low balance accounts and invest additional funds in CRIM per customers instructions. Will monitor accounts on department specific systems by maintaining adequate securities, reducing par and monthly pay downs. Will purchase or redeem funds for the account by verifying trades through department related technology. Will monitor the accounts on department specific systems. Will verify and or enter the daily factor and dividends on department systems. Reports daily activity outside support on specified reports. Will ensure the completion of proper paperwork and record keeping including daily entries, monthly account billing information and file maintenance. Will prepare daily and monthly reconcilements on specified reports and accounts. Responsible for the change of interest rates on specified government and corporate documents. Monitors the accounts of credit customers to verify balances are accurate and data enter non automated transfers. Approves or denies wire transfer debits for customers by calculating collected balances in all related accounts. Will prepare routine reports for management. Responsible for updating department specific documents
  • Responsible for maintaining the specified systems for all Fulton Financial Corporation banks. Prepares information for monthly account analysis statements and uploads into specified systems. Will code and exception price accounts according to billing information provided and verify information is accurate. Will collect and calculate all charges and items that are not passed automatically by department systems. Responsible for mailing system generated account analysis statements and invoices for customers. Adheres to special instructions and pricing for various accounts. Computes corporate earnings credit rates and negative earnings charge. Prepares special billing required for customers and makes monthly transfers for compensating balances. Prepares and enters account analysis maintenance coding. Tracks various activity and fees for monthly reporting purposes. Maintains department fee schedules and pricing on the account analysis system for all Fulton Financial Corporation affiliates and regions. Reconciles the general ledger account on a monthly basis
  • Manage the monthly maintenance of new, change and deleted accounts. Responsible for ensuring the correct coding is applied to department specific systems to properly initiate, change or disconnect sweeps to and from specified accounts. Responsible for properly coding all activity charges so that all fees are billed properly on department specified systems
  • Will assist the management with the successful conversion of each new affiliate supported by Fulton Financial Corporation or any new bank acquisition which requires the ongoing support of department operations
  • Provides excellent customer service to corporate clients and will care, listen, understand and deliver by fulfilling our service delivery promise. will provide solutions to customer problems within researching and or involving the appropriate departments and personnel. Will follow up to ensure customer and bank satisfaction is met. Will provide superior ongoing support to customers regarding all bank products and services. Responsible for utilizing resources for optimizing a situation or solving a problem. Will research and contact customers in overdraft situations and notify the appropriate employees. Document all unusual and material bank errors
  • Will participate in a team environment where employees perform individually and collectively to achieve department goals. Will participate in cross training employees. Will provide telephone support for the department call Center
  • Assist department management with special projects as assigned
240

Banking Cash Management Products & Solution Resume Examples & Samples

  • Create, maintain and process bank client Cash Management requests for Remote Deposit Capture, ACH, Wire Transfer, Positive Pay and other standard Cash Management offerings
  • Processing treasury management product systems include but are not limited to: non-standard pricing, analysis statements, and analysis counters
  • Supports methodical risk reviews and audits of bank Cash Management products and provides operational reporting on these offerings
  • Develops and sustains measures and strategies demanding knowledge of complex procedures and/or regulatory requirements
  • Affords support for internal calls to interpret and explain policies and procedures
  • Delivers direct customer service for escalated/complex issues
  • Identifies commercial deposit product problems and provides resolution to potential problems in a timely manner
  • Nurtures an environment of open communication between teams and departments
  • Supports the completion of client facing and internal communications (in-person, phone, email, or other means)
  • Partner’s closely with bank Product Managers to ensure realization of revenue objectives for allotted products
  • Bank cash management experience is non-optional
  • Bachelor’s degree in business management or a related field
  • Proven analytical and problem-solving skills in relation to bank Cash Management systems
  • Extensive and demonstrable knowledge of account analysis and treasury management products
  • At least eight years prior experience in a similar role
  • Excellent process and procedural knowledge, advanced team building and collaboration skills to manage the diverse services provided
241

Cash Management Solutions Consultant Resume Examples & Samples

  • Identify opportunities to broaden product feature/functionality based on market and competitive intelligence
  • Maintain and enhance industry knowledge via conferences, industry periodicals, market segment studies, focus groups, etc
  • Demonstrate proficiency in assigned Treasury Management solutions
  • Develop and execute on formal plan to achieve revenue goal
  • Assist on Treasury Management opportunities including solution development and pricing recommendations
  • Act as liaison between Treasury Management , Product, Operations and IT to define and present the best solution to the client
  • Have detailed understanding of how solutions impact the client's working capital
  • Ability to match client needs with bank solutions and to articulate the solutions to clients
  • Provide business process consultation to clients and prospects to identify opportunities
  • Create bank brand awareness through speaking at industry forums
  • Demonstrate all keyTreasury Management solutions to clients
  • Support RFP responses
  • Maintain pipeline to support financial and resource forecasting
  • Identify opportunities in business developmentpipeline and manage then through closure
  • Undergraduate degree is required
  • 4+ years of Treasury Management experience with a focus in Sales and/or Product (Commerical Card) Management required
  • Deep understanding of how Treasury Management solutions help clients improve working capital
  • Willingness to consult with clients to identify opportunities
  • Ability to work with cross-functional teams
242

Cash Management Project Manager Resume Examples & Samples

  • Drive successful implementation of cross-functional projects
  • Create business requirement documents (BRD) for all Cash Management projects
  • Enter necessary BRFs and BDSs and Service Now Tickets including attaching the BRD and other necessary backup information for the ticket/project
  • Track and report on project results, communicate project scope and status
  • Assist with and /or develop project plans for each project initiative
  • Ensure that the organization understands the nature, schedule, scope, scale and requirements associated with the individual projects by coordinating the exchange of information with impacted departments including scheduling informational calls
  • Coordinate the project with the programmer assigned and vendor, if applicable
  • Coordinate testing as necessary including identifying testers within/outside Cash Management
  • Authorize and communicate changes to the project schedule as required
  • Lead project review meetings via face to face meetings as well as utilizing conference bridge calls
  • Provide updates to project plans following each meeting
  • Create OKM articles, New Flashes and CIC documents as necessary
  • Assist with huddle documents as necessary for project implementation
  • Identify and document Lessons Learned and best practices
  • Resolve issues and escalate issues to Senior Management as needed
  • Work directly with the analytics team to develop reporting to analyze/modify Cash Management strategies
  • UpdateCash Management OKM articles/News Flash/ as needed for project/process launches
  • Responding to annual PCI request list for Cash Management
243

Cash Management Intern Resume Examples & Samples

  • Current student status; pursuing a Bachelor's degree with a concentration in Accounting or Finance preferred
  • Availability to work 20-24 hours per week; opening is for immediate availability
  • Cumulative GPA of 3.3 or above
  • Detail oriented nature with ability to multi-task
  • Great organization & communication skills
244

Senior Cash Management Resume Examples & Samples

  • Maintains call activity and pipeline accuracy in CRM tracking system (TouchPoint)
  • LI-AS1
  • Comprehensive knowledge of Cash management services and products and general banking services and bank operations
245

Analyst, Cash Management & Banking Resume Examples & Samples

  • Prepares daily reconciliation and forecast for all US-based entities to determine daily funding requirements. This process requires a high level of accuracy and attention to detail
  • Identifies, analyzes and explains variances between actual and forecast cash flows
  • Prepares the notification and confirmation of various treasury transactions including commercial paper, credit facility loans, long-term debt, foreign exchange and intercompany transactions
  • Prepares and initiates all wire payments for daily settlement of various treasury transactions
  • Prepares and initiates transaction records in Treasury systems (e.g. Kyriba, Openlink)
  • Maintain various treasury reports (eg. Money Market activity, liquidity reports, dividend memos) for US Enbridge entities as required
  • Completes other special projects as required including financial analysis and modeling
  • Works closely and collaborates continuously with other Cash Management team members
  • Will begin to develop external relationships with Money Market dealers and with credit facility and external debt administrators as experience progresses
  • University Degree, preferably with a financial orientation
  • At least 1 to 2 years of progressive experience in a Treasury/Finance related field
  • Ability to work independently, prioritize, meet tight deadlines and handle high-pressure situations
  • Strong computer skills including the ability to quickly become proficient in the use and optimization of Treasury systems (Openlink, Kyriba, and various web banking platforms)
  • Oracle and/or SAP experience would be beneficial
  • Salary and job level will be commensurate with qualifications and experience
246

LAS Cash Management Supervisor Resume Examples & Samples

  • Bachelor’s Degree in Finance, Economics, Accounting, Business Administration or related field
  • Proven financial experience in similar environment is expected
  • Highly proficient in English is a must
  • Operation of SAP and banking platforms is requested
  • Understanding of local & US GAAP is a definite advantage
247

Cash Management Senior Analyst Resume Examples & Samples

  • Daily cash positioning, forecasting and reconciliation for AIG entities in the EMEA region, ensuring adequate liquidity is available daily to meet the business wide needs
  • Partner with Treasury Compliance team to ensure all activities and duties are carried out within the respective global standards and policie
  • Plan (BCP) are proactively maintained and kept up to date
  • Ensure proper segregation of duties in accordance with policies and procedures
  • BA degree (or equivalent) in Accounting, Finance or a Business related is preferred
248

Lead Salesperson Cash Management Corporates Resume Examples & Samples

  • Bachelor degree or higher (MBA, preferred)
  • 8+ years of consultative treasury sales or corporate banking experience
  • Understanding of European and Asian treasury markets
  • Track record of successfully selling across a complex, multinational corporate client set
  • Deep product knowledge across cash management, liquidity, and foreign exchange
  • Ability to structure and develop treasury solutions which meet client needs, while adhering to Deutsche Bank’s operational and risk management framework
  • Strong client facing, presentation, relationship building and negotiation skills; ability to communicate across all levels of a client’s organization
  • Willing to travel both domestically and internationally
249

Cash Management Accounting Resume Examples & Samples

  • Responsible for Payment process & custom liquidation
  • Input and upload overdue aging list to Bank net
  • Do collection clearance and post payment transactions in SAP
  • Solve issues with suppliers/customers if any
  • Ensure all payment transactions are 100% correct with proper documentation
  • Prepare finance documents for custom liquidation process
  • Maintain & update Cash flow forecast
  • Perform bank reconciliation
  • Responsible for monitoring loan status with Bank
  • Main contact point with bankers
  • Prepare bank registration documents
  • Ad hoc tasks
  • Able to support General accountant and Financial analyst to prepare monthly ad hoc reports
  • Handle ad hoc tasks assigned by Finance Controller
  • KIC (internal control)
  • Make sure financial accounting processes (payment process and petty cash process) are aligned with Corporate internal control
  • Possess professional accounting qualification or university degree in Accounting/ Finance
  • Minimum 2 years experiences in financial accounting
  • English:Intermediate
  • Proactive, accept challenges and willing to learn
  • Awareness of company’s quality & environment policy
  • Clear identification with company goals, high initiative and positive thinking
250

Cash Management Accountant Resume Examples & Samples

  • Performing bank reconciliation on timely basis; daily, weekly and monthly
  • Handling cash and reconciliation from Sales and Service Centres
  • Following up with the Subscribers Guarantees
  • Assisting the treasury manager in the department work
  • Filling-in checks for payments
  • Participating in preparing cash forecasts
  • Excellent computer literacy (MS Office especially Excel)