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Formulated Solutions

TREASURY / ACCOUNTING MANAGER

Formulated Solutions, Largo, Florida, United States, 34640

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Position Overview Formulated Solutions is seeking a skilled Treasury and Accounting Manager to join our finance team and oversee our treasury operations, ensuring optimal liquidity, risk management, and financial strategy alignment. The Treasury Manager will be responsible for managing the company’s cash flow, banking relationships, and financial risk management. Reporting directly to the Controller, the selected candidate will play a pivotal role in ensuring that the company’s treasury and accounting functions are efficient and aligned with our strategic goals and private equity stakeholders' expectations. This is an On-Site Position.

Key Responsibilities Cash Management

Oversee daily cash management, including cash flow forecasting and optimization.

Overall responsibility for allocation of weekly payments within current liquidity structure and supplier payment terms

Consistent preparation of short and long-term weekly cash forecasts

Manage cash positioning to ensure liquidity requirements are met and surplus cash is effectively invested.

Develop and support improvements to treasury policies, procedures and controls

Create and route for approval cash disbursements including checks, ACH and wire payments

Monthly reconciliation of all company bank accounts

Implement and maintain cash management policies and procedures.

Effectively work with and support internal business partners including AR, AP, legal, tax and IT

Oversee day-to-day operations of AP and AR departments

Banking and Financial Relationships

Develop and manage relationships with banks and financial institutions.

Oversee bank account management, including opening, closing, maintenance and signatory updates.

Evaluate and recommend banking products, services and platforms as appropriate.

Responsible for monthly bank compliance and covenant reporting

Risk Management

Identify and manage financial risks, including interest rate, foreign exchange, and credit risks.

Develop and implement hedging strategies to mitigate financial risks.

Monitor and analyze risk exposure and recommend appropriate risk management strategies.

Treasury Operations

Oversee treasury operations and ensure accurate and timely reconciliation of cash transactions.

Implement and maintain treasury systems and processes for efficiency and accuracy.

Effectively work with and support internal business partners including AR, AP, legal, tax and IT

Work with internal and external auditors

Support special projects and M&A activities

Treasury Porting and Analysis

Prepare and present treasury reports to senior management and private equity stakeholders.

Assist Controller with 13 week cash forecast and cash reporting

Daily cash/liquidity positioning and reporting

Ensure accuracy of interest expense payments and PIK accruals

Periodic cost review and alignment of bank fees

Provide analysis and recommendations on liquidity, financial risk, and investment opportunities.

Support the preparation of financial models related to treasury functions.

Financial Accounting

Prepare, analyze detailed account reconciliations.

Analyze P&L and balance sheet accounts for accuracy.

Assist in month-end closing, prepare journal entries as necessary.

Maintain internal control documentation and test internal controls.

Develop and implement accounting procedures to improve accounting and business processes.

Support operations through effective communications of overhead expenses, material utilization and labor efficiency reporting.

Maintain fixed asset project tracking and asset verification

Work on special projects as required.

Support and assist internal department reporting requirements such as audit schedules, tax schedules and others.

Create and review the controls needed for data accumulation and reporting systems.

Support external audit requirements and report preparation

Compliance and Controls

Ensure compliance with financial regulations, policies, and procedures.

Develop and maintain internal controls to safeguard company assets and ensure accurate reporting.

Prepare, review and maintain SOX compliance within the department; ensure proper controls exist over cash receipts, disbursements and general treasury activities

Process Improvement

Develop and support improvements to treasury and accounting policies, procedures and controls

Identify and recommend treasury process improvements.

Ensure best practices are followed in treasury operations.

Qualifications

Bachelor’s degree in Finance, Accounting, Economics, or a related field; MBA or professional certifications (e.g., CTP) preferred.

5-7 years of experience in treasury / accounting management, preferably within the healthcare or manufacturing sectors.

Strong analytical, financial and systems skills, including advanced spreadsheet and modeling skills

Experience working in a private equity-owned environment is highly desirable.

Desired Attributes

Strong knowledge of cash management, financial risk management, and banking operations.

Proficiency in treasury management systems and financial software.

Excellent analytical and problem-solving skills.

Excellent communication skills in dealing with internal and external customers and business partners

Ability to work independently and manage multiple priorities in a fast-paced environment.

Analytical mindset with strong problem-solving abilities.

Detail-oriented with a focus on accuracy and compliance.

Results-driven with a commitment to meeting deadlines and achieving project milestones.

Self-motivated, collaborative and responsive.

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