Senior Treasury Specialist jobs in United States
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VSP Vision ยท 4 days ago

Senior Treasury Specialist

VSP Vision is a leading company in the vision care industry, seeking a Senior Treasury Specialist to manage complex bank activities and ensure accurate cash management. The role involves performing bank reconciliations, investigating discrepancies, and collaborating on month-end closing tasks to optimize financial processes.

EyewearHealth CareHealth Insurance

Responsibilities

Perform moderate to complex bank activities, including decisioning ACH and POS Pay exceptions, daily cash management, bank reconciliations, voids/stop payments on checks, unclaimed property management, and various research activities across all supported lines of business
Responsible for handling and managing a variety of bank activities and transactions ensuring accuracy and proper funding
Investigate discrepancies, perform clearing entries, analyze cash accounts, and recommend process improvements to mitigate risk
Collaborate on month-end closing tasks including general ledger adjustments
Perform bank activities, including but not limited to ACH and Pos Pay exceptions, fraud prevention, reconciliations, voids/stop payments, unclaimed property, and research
Review daily bank balance for cash positions to ensure adequate funding for payments
Reconcile daily bank transactions in the system; investigate all discrepancies to ensure accurate reporting in the general ledger
Perform daily clearing entries and analyze all general ledger cash clearing accounts to ensure that transactions are posted and cleared in a timely manner
Analyze positive pay reporting for any discrepancies with the bank
Identify at-risk processes and recommend procedure changes to eliminate the potential for fraud
Coordinate the delivery of ACH returns and NSF payments to the appropriate department to process
Collaborate on month-end closing tasks, including but not limited to reconciliations and general ledger adjustments
Identify stale checks and create files to upload to the bank and in the system
Provide bank documents as needed to internal and external auditors
Provide accurate and complete information to business partners and assist them in understanding the cash management process
Assist other departments (e.g., audit, accounting) with information requests as needed
Problem-solve issues impacting cash accounts and collaborate with senior staff, and if necessary, other departments
Process levy payments; includes reviewing Levy notices for varying instructions on payments, verifying provider accounts, and requesting checks through A/P
Create and update procedure documentation as necessary
Act as a point of contact for the managed group inbox, including organizing and distributing inquiries, researching, and resolving a variety of complex issues from internal and external parties
Investigate and resolve system and/or process issues associated with cash reporting
Proactively identify issues, assess circumstances, and drive towards solutions that contribute to efficiency and optimization of cost-savings
Partner on higher-level tasks such as reconciliation and analysis of Treasury-related accounts and other complex ad hoc duties as needed

Qualification

Treasury operations experienceBanking processes knowledgeSAP (preferably S4Hana)Data analysisProblem-solving skillsEffective communicatorResearchResolution skillsMulti-tasking skillsDocumentation skills

Required

4+ years of experience in treasury operations, banking, or corporate finance
Knowledge of banking processes
Experience with SAP (preferably S4Hana)
Ability to perform detailed work with numerical data, analyze data, oversee assigned tasks and projects, make informed decisions, and meet tight deadlines
Strong problem-solving skills, basic accounting principles knowledge, documentation skills, research and resolution skills, data analysis, and multi-tasking skills
Ability to maintain confidentiality and adhere to security protocols, company policies and procedures, and internal control standards
Effective communicator, verbally and in writing
Clean credit history as reported by credit report
Ability to regularly exercise discretion and independent judgment in the performance of his/her job duties

Benefits

Eligible bonuses and commissions

Company

VSP Vision

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At VSP Vision, we activate the full power of care by consciously reinvesting in greater vision, health, and opportunities for all.

Funding

Current Stage
Late Stage

Leadership Team

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Michael Guyette
President and CEO
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Monica Perez
Senior Vice President Finance and Treasury
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Company data provided by crunchbase