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VP Finance
4 weeks ago
IH Mississippi Valley Credit Union Moline, United StatesJoin IH Mississippi Valley Credit Union as our new VP Finance and be at the forefront of driving financial success in the credit union industry This is a prime opportunity to showcase your expertise and lead our finance team to new heights. With the flexibility of remote work or ...
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VP Finance
2 weeks ago
IH Mississippi Valley Credit Union Moline, United StatesJob Description · Job DescriptionJoin IH Mississippi Valley Credit Union as our new VP Finance and be at the forefront of driving financial success in the credit union industry This is a prime opportunity to showcase your expertise and lead our finance team to new heights. With t ...
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Vp Finance
2 weeks ago
IH Mississippi Valley Credit Union Moline, United States**A LITTLE ABOUT US**: · We're a member-owned financial cooperative. This means we exist solely to help our members, our team members and our communities find success on their financial journeys, not to line the pockets of some Wall Street stockholders. Our members are our owners ...
Treasury Analyst - Long Grove, United States - MAT Holdings
Description
Established in 1984 as Midwest Air Technologies, Inc., MAT Holdings, Inc. is a $2.0 billion global company with manufacturing operations, distribution centers, and sourcing offices worldwide.The company's core businesses include the production, sales, and service of products in the automotive, power equipment, and fencing/hardware sectors.
MAT is a family of companies and products offering countless opportunities enabled by our global presence in 12 countries and 14,000 employees.
Job Description
The role of Treasury & Risk Management analyst will be responsible for the day-to-day treasury and insurance related functions for MAT Holdings, Inc.
Risk Management responsibilities include facilitating the identification of risks throughout the organization and implementing risk mitigation and/or risk transfer strategies that complement the risk profile of the Company.
This role reports to the Supervisor of Treasury & Risk Management and works closely with Finance, Legal, HR and Operations to ensure all of the Company's goals are met.
Facilitates the bank activities (e.g. release of funds)Coordinates & maintains borrowing and leasing arrangements with banks, including ensuring adherence to debt compliance requirements
Cash forecasting and treasury reporting activities on a timely and accurate basis
Supports quarterly and annual bank reporting & financial audit preparation
Administers corporate credit card program and adherence to its policies
Manages & reports all insurance claims including coordination of quarterly claims review
Evaluate, recommend and manage global property & casualty insurance policies
Facilitates and coordinates risk improvement projects (e.g. property risk engineering)
Special projects as assigned by the Supervisor or Director of Treasury & Risk Management
Qualifications
Bachelor's degree in Finance, Accounting or similar field of study
Highly motivated, self-directed, and innovative
Able to work both independently and in collaboration with teams
Adaptive problem solver who effectively and efficiently navigates changes and challenges
Excellent written, oral and interpersonal communication skills with the ability to build relationships at all levels both internally and externally
Thorough with great attention to detail while still meeting deadlines
Proficient in Microsoft Office (Outlook, Excel, Word, PowerPoint)
Process oriented with ability to identify issues, evaluate alternatives and implement solutions
Operates with a high level of professionalism, integrity and confidentiality
Additional Information
All your information will be kept confidential according to EEO guidelines.
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