Treasury Analyst Rackspace. JOB REQUIREMENTS:. . . Key Accountabilities. . The Treasury Analyst II will perform a variety of treasury and cash accounting functions for a high volume of bank account activity across multiple international jurisdictionson a daily basisleveraginga number of treasury, accounting and online banking systems. The Treasury Analyst II must adhere to strict policies, procedures and departmental controls. . . · Reconcile a high volume of bank account activity across multiple international jurisdictions on a daily and monthly basis leveraging a number of treasury, accounting and online banking systems. . · Research and troubleshoot accounting and systems issues as they arise, identify root causes and effectively communicate findings to management with appropriate facts and support. . · Identifying the need for and prepare journal entries as needed with appropriate support. . · Review support for and post journal entries and ensure appropriate segregation of duties across treasury functions. . · Initiate manual wire and ACH transactions for requests received from various departments and ensure appropriate support for the transaction has been provided. . · Research transaction inquiries from various departments including General Accounting, AR, AP, Payroll, tax, and legal. . · Assist with the monthly global intercompany settlement process by analyzing cash positions and projected cash flows by region and ensure all intercompany payment obligations have been settled and posted appropriately. . · Monitor Treasury activities and ensure compliance of policies, procedures and operational controls related to cash management functions and assist with internal and external audit requests as needed. . · Prepare daily and monthly reports of cash flow activity and assist with cash flow forecasting for Treasury management. . · Assist with projects to integrate acquired companies and streamline treasury operations with advanced technologies and process improvements. . · Assist corporate treasury with opening and closing bank accounts, maintaining bank account signers, and act as liaison between local banking representatives and operations. . · Analyzes and prepares foreign exchange transactions. . · Calculates net cash positions across multiple jurisdictions and currencies, analyze bank activity and assess investing/borrowing activity to maximize cost savings and interest income.. .
Treasury Analyst at Rackspace