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Our client is looking for a skilled Treasury Accountant to join their team in Des Moines, Iowa. This role is essential in ensuring the smooth execution of cash management operations, including fund transfers, reconciliations, and accurate record-keeping. You will play a key part in maintaining financial efficiency and supporting organizational practices.
Job Responsibility:
Oversee daily cash movements, including wire transfers and fund allocations
Perform detailed reconciliations of cash accounts to ensure accuracy and compliance
Manage instructions for transferring funds to support investment and trading activities
Verify trade transactions and ensure proper system recording and documentation
Collaborate on projects aimed at enhancing cash movement processes and implementing efficient controls
Support the onboarding of new banking systems and integrate them into cash flow operations
Establish best practices for treasury operations to streamline workflows and optimize performance
Monitor wire transfers and ensure timely execution of funding requirements
Provide insights and recommendations for improving treasury functions and financial processes
Requirements:
Strong experience in corporate treasury or cash management functions
Expertise in handling treasury activities, including fund transfers and reconciliations
Familiarity with financial systems and processes related to investment and trading
Ability to work effectively on projects aimed at process optimization and efficiency
Detail-oriented with excellent organizational and problem-solving skills
Proficiency in managing banking setups and onboarding processes
Demonstrated ability to ensure accuracy in financial documentation and reporting