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Corporate Treasury & Risk Management Analyst

US - VA - Remote, United States

Job Description

SUMMARY: The Corporate Treasury and Risk Management Analyst is responsible for providing support to the Corporate Treasury and Risk Management Function within Stride Inc.

ESSENTIAL FUNCTIONS: Reasonable accommodations may be made to enable individuals with disabilities to perform the essential duties.

  • Responsible for tracking bank service charges across Stride corporate bank accounts, program schools and portfolio companies.
  • Works closely with corporate accounting team on banking operations and reconciliations
  • System administration duties using bank portals and bank reporting
  • Supports Treasury team for bank fraud prevention operations and compliance to include Bank Account Administration operations and audits
  • Supports cash forecasting and provides key inputs to FP&A and other finance teams
  • Process wire transfers, ACH debits and credits, and manage executive approvals within process workflow
  • Runs and monitors file communication dashboards for Kyriba
  • Project supports TMS, Banking, and Insurance systems
  • Short term fixed income investment management experience and financial reporting and analysis
  • Supports investment software reporting and optimizes system for reporting
  • Supports Treasury and Risk contract administration
  • Supports Treasury and Risk budget administration
  • Performs banking consulting as needed for 501c3 schools to modernize operations
  • Creates investment performance and analytical reports for management
  • Produces continuous cash forecasting variance back testing reports and performs trend analysis

Supervisory Responsibilities: This position has no formal supervisory responsibilities.

MINIMUM REQUIRED QUALIFICATIONS:

  • HS Diploma and some college, or related business discipline AND
  • One of Treasury, accounting, or banking experience

Certificates and Licenses: None required.

OTHER REQUIRED QUALIFICATIONS:

  • Microsoft Office (Outlook, Word, Excel, PowerPoint, Project, Visio, etc.); Web proficiency.
  • Technology expertise to include advanced MS Excel & PowerPoint skill sets
  • Able to adhere to strict deadlines, willing and able to do what it takes to get the work done
  • Ability to clear the required background check

DESIRED QUALIFICATIONS:

  • Certified Treasury Professional (CTP) or candidate
  • Associate in Risk Management (ARM) or candidate
  • Chartered Financial Analyst (CFA) or candidate
  • Experience with corporate treasury at mid to large size company
  • TMS operations experience using Kyriba
  • Experience with Bank and Money Market Portals, Clearwater, NetSuite, and Hyperion/PBCS
  • Certificate of Insurance (COI) software experience
  • Capability to multi-task and respond to inquiries quickly and accurately
  • Some experience in Risk Management
  • Experience with Power Bl and Visio
  • Possess the self-discipline to excel in a remote work environment
  • Project management skills with ability to influence management using data metrics
  • Exposure to Virtual cards, Pcards, and integrated payables programs

WORK ENVIRONMENT: The work environment characteristics described here …

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