Treasury Specialist I

HL-GA Battery Company

Savannah, Northern (GA, KY)

Hybrid

USD 55,000 - 75,000

Full time

2 days ago
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Job summary

HLBMA LLC in Savannah, GA is seeking a Treasury Specialist I to support treasury operations, cash management, and financial reporting. You will assist with cash flow forecasting, bank reconciliations, and month-end close under the Business Management team, using SAP and internal systems.

The ideal candidate has a bachelor's degree in accounting or finance and 2+ years in treasury or related fields, with strong Excel and communication skills.

Qualifications

  • Bachelor's degree in Accounting, Finance, or related field is required.
  • At least 2 years in treasury, finance, or accounting with cash management experience preferred.
  • Experience with SAP and financial reporting is desirable.

Responsibilities

  • Assist in cash flow forecasting and liquidity management.
  • Monitor daily cash balances and report cash positions.
  • Support treasury operations including transfers and reconciliations.
  • Assist with short-term investments and borrowing activities.
  • Maintain bank relationships and communications.
  • Support month-end close activities related to treasury and cash management.
  • Prepare reports and analyses on cash flow, investments, and financing.

Skills

Cash management
Excel
SAP
Bank relationships
Financial reporting

Education

Bachelor's degree in Accounting, Finance, or related field

Tools

SAP
Banking portals

Job description

If you are unable to complete this application due to a disability, contact this employer to ask for an accommodation or an alternative application process.

Treasury Specialist I

Full Time Professional Savannah, Ellabell, GA, US

Summary

The Treasury Specialist I supports HLBMA's treasury operations, including cash management, liquidity monitoring, and financial reporting. This role assists in managing the company's cash flow and banking relationships and helps ensure the availability of funds for daily operations. During the company's month-end closing period, this role may be required to support additional tasks beyond its primary function within the Finance division. Under the direction of the Business Management team, this role performs its work using SAP, internally developed systems, and banking portals.

Responsibilities
  • Assist in cash flow forecasting and liquidity management
  • Monitor daily cash balances and report on cash positions
  • Support treasury operations, including cash transfers and bank reconciliations
  • Assist with managing short-term investments and borrowing activities
  • Assist in managing bank relationships and communications
  • Help maintain accurate records of financial transactions related to treasury functions
  • Support month-end close activities related to treasury and cash management
  • Prepare reports and analysis related to cash flow, investments, and financing activities
  • Assist in the preparation of treasury-related reports for management and auditors
  • Ensure compliance with internal controls and financial regulations
  • Conduct internal data collection, scheduling, and organization to support the contracting and renewal of company insurance policies
  • Maintain confidentiality of financial, banking, and company information at all times
  • Maintain regular and reliable on-site attendance
  • Maintain cleanliness at work-site in accordance with 5S3R Standards (Sort, Set in Order, Shine, Standardize, Sustain; Right Location, Right Quantity, Right Container)
  • Perform other duties as assigned
Qualifications
  • Bachelor's degree in Accounting, Finance, or a related field required
Experience
  • 2+ years of experience in treasury, finance, or accounting required
  • Experience with cash management, bank reconciliations, or month-end close activities preferred
  • Experience in a corporate, manufacturing, or multinational business environment preferred
Sponsorship

This position is not eligible for employment-based visa sponsorship, now or in the future. Candidates must possess current, unrestricted authorization to work in the United States.

Skills
  • Strong understanding of basic financial principles and cash management
  • Familiarity with accounting software (SAP preferred)
  • Proficiency in Microsoft Excel, including financial modeling, reporting, and analysis
  • Strong attention to detail and accuracy in financial recordkeeping
  • Ability to maintain confidentiality when handling sensitive financial information
  • Good communication and interpersonal skills
  • Ability to work independently and within a team
  • Ability to manage multiple priorities and meet time-sensitive reporting deadlines
Physical Requirements
  • Sit and work at a computer for prolonged periods
  • Maintain concentration while performing detailed, repetitive computer-based and data-entry activities
  • Use hands and fingers to operate computers, office equipment, and communication devices
  • Occasionally stand, walk, bend, reach, and move throughout office and operational areas
  • Occasionally handle or move office materials, files, records, and supplies
  • Travel between meeting locations and company facilities as needed
  • Primarily office-based environment within a manufacturing facility
  • Frequent use of computers, SAP, banking portals, and internally developed financial systems
  • Regular interaction with Finance team members, leadership, banking partners, auditors, and insurance providers
  • Regular exposure to confidential financial, banking, and business information requiring a high level of discretion
  • Occasional exposure to manufacturing and operational areas requiring adherence to company safety policies and PPE requirements
  • May require flexibility in work schedule during month-end closings, audits, or other time-sensitive business requirements

HLBMA LLC is an Equal Employment Opportunity (EEO) employer that values the diversity of its workforce.

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