Treasury Analyst

Parker Hannifin

Cleveland (OH)

On-site

USD 95,000 - 135,000

Full time

14 days+

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Job summary

Parker Hannifin is seeking a knowledgeable Treasury professional to support global activities from our Cleveland area location. You will perform daily cash management, liquidity forecasting and policy-compliant FX and investments in line with corporate strategy.

You will maintain treasury software, coordinate cross-border cash pooling, and ensure internal controls. This role requires experience in international treasury and a relevant degree with preferred certification.

Qualifications

  • 3+ years in international treasury within a large multinational.
  • Experience with a Treasury Management System (TMS) preferred, Integrity preferred.
  • Bachelor's degree in Accounting or Finance; treasury certification preferred.

Responsibilities

  • Perform daily cash management duties including reconciliation, cash positioning and reporting.
  • Transact US commercial paper, short-term investments and FX per policy.
  • Maintain treasury software such as FIS T&R Manager (Integrity).
  • Coordinate liquidity management activities, cross-border cash pooling and forecasting.
  • Manage bank accounts, setup, signer coordination, and compliance.
  • Back up global treasury activities and update policies as needed.
  • Travel internationally as required.

Skills

Professionalism
Integrity
Communication
Relationship building
Entrepreneurial spirit
Self-motivation
Creativity

Education

Bachelor's degree in Accounting or Finance
Treasury certification (AFP/ACT) preferred

Tools

Integrity (Treasury Management System)
TMS software

Job description

Position Summary

Support global Treasury Services activities by analyzing, performing, and reviewing key processes, including cash reconciliation and positioning, liquidity concentration, short term cash investment, foreign currency transactions, and tracking key performance indicators.

Scope/ Supervision And Interaction

___ Has Direct Reports _X_ Does Not Have Direct Reports

Essential Functions
  • Perform the daily cash management duties for Corporate Treasury (U.S. and International) including account reconciliation, cash positioning and periodic reporting.
  • Transact U.S. commercial paper, short term investments and FX in line with Treasury strategy and policy.
  • Maintain and develop all aspects of the Treasury Software used by Parker. (FIS Treasury and Risk Manager - Integrity).
  • Coordinate and analyze activities associated with liquidity management including cross-border cash pooling, system automation, functional cash flow forecasting and system and optimization of interest.
  • Manage company bank account activities, including account setup and maintenance, authorized signer coordination, banking documentation, and ongoing compliance with internal controls and treasury policies.
  • Maintain and develop all aspects of the Bank Account Management System.
  • Provide back-up for global activities where required.
  • Publish updates to treasury manual, policies and procedures in accordance with documented Sarbanes and Oxley compliant internal controls.
  • Provide recommendations on changes in order to achieve state-of-the-art regional and global treasury services consistent with the principles of Lean and the Win Strategy.
  • Support the Global Treasury Manager and/or Treasury Manager with special projects on an as requested basis.
  • Assist with maintaining and developing aspects of the inter-company payments netting system.
  • Occasional international travel.
Qualifications
Skills
  • Professionalism, independence, confidentiality and integrity.
  • Strong technical treasury skills.
  • Team oriented with strong communication skills.
  • Ability to build relationships and a network in an international environment.
  • Entrepreneurial spirit.
  • Highly self‑motivated and independent.
  • Creative and flexible.
Education And Certification
  • Bachelor’s Degree in Accounting or Finance
  • Certification in Corporate Treasury from national/regional association such as AFP, ACT, etc. preferred.
Experience
  • Demonstrated experience (3+ years) and success within international treasury in a large multinational corporate environment.
  • Alternatively, broad and in-depth experience (5+ years) within finance or accounting.
  • Experience using a Treasury Management System (TMS) is strongly preferred; experience with Integrity is preferred.
Equal Employment Opportunity

Parker is an Equal Opportunity and Aff… Parker is committed to ensuring equal employment opportunities for all job applicants and employees. Employment decisions are based upon job related reasons regardless of race, ethnicity, color, religion, sex, sexual orientation, age, national origin, disability, gender identity, genetic information, veteran status, or any other status protected by law. However, U.S. Citizenship, Permanent Residency or other appropriate status is required for certain positions, in accord with U.S. import & export regulations.

("Minority / Female / Disability / Veteran / VEVRAA Federal Contractor")

If you would like more information about Equal Employment Opportunity as an applicant under the law, please go to Employees & Job Applicants | U.S. Equal Employment Opportunity Commission

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