Seminole Hard Rock Support Services
Overview
The Treasury Analyst will be responsible to assist in managing the day-to-day functions in support of the Seminole Gaming and Hard Rock International Properties. This may include, but not limited to: Wire/ACH Payments, Bank Account Mgmt, Monthly Reconciliations, Audit Requests, Loan/Debt Payments and other cash management and treasury related functions.
Responsibilities
BANKING:
Process US & Global Payments (Wires & ACH)
Knowledge of Banking Protocols - including Intermediary Banks
Experience with USD & Foreign Currency Transactions (FX)
Create/Manage Template Data
Experience with Online Bank Portals
Assist/Setup Bank Services for New Properties
CASH MANAGEMENT:
Prepare/Maintain Cash Forecast Schedule
Process Inter-Co Transfers
Review/Process Petty Cash Requests from Properties
CORP FINANCE:
General Knowledge of the following:
Loan Amortization & Maturity Schedules (Term, Swaps, Derivatives)
Interest Calculations, Principal Payments
OTHER TASKS:
Maintain User Access to Online Bank Portals
Assist to Open/Close Corp Bank Accounts
Partner with Internal Teams for Qtrly Reviews/Recon
Support GL & Audit Requests for Cash/Bank Reports as Needed
Special Projects as Needed
NONESSENTIAL FUNCTIONS
Present a professional image to employees, guests, clients, owners and investors.
Promotes positive public/employee relations at all times and maintains high morale.
Operate ethically to protect the image of Hard Rock.
Qualifications Minimum Requirements
Bachelor's degree in Finance, Accounting, Business, as well as minimum five (5) years of experience in financial services or banking environment.
Working knowledge using online bank portals/templates.
Working knowledge of foreign currency transactions.
Intermediate to advance knowledge of banking software platforms preferred.
Experience with inter-company transactions, domestic/international payments, template management.
Working knowledge of loan amortization schedules/interest calculations.
Must have strong skills in Microsoft Excel, and other Microsoft Office programs.
Must possess excellent time management skills, organizational skills, and interpersonal skills.
Must be detail oriented, problem solver and have strong analytical skills.
Capable of handling advanced accounting concepts with minimal supervision and ability to work within deadlines.
Language Skills
Must possess strong communication and listening skills, excellent speaking, reading and writing.
Comprehend and use technical or professional language, either written or spoken, to communicate complex ideas.
Ability to effectively present information in one-on-one and small group situations to customers, clients, and other employees of the organization.
Physical Demands
Ability to move throughout the corporate office (standing, walking, kneeling, and bending) for extended periods.
Ability to sit for extended periods.
Ability to make repeating movements of the arms, hands, and wrists.
Ability to occasionally move objects (lift, push, pull, balance, carry) up to 10 pounds.
Ability to tolerate exposure to heat, cold, chemicals, and loud/noisy environment.
Treasury Analyst • Davie, FL, United States
#J-18808-Ljbffr
Responsibilities
BANKING:
Process US & Global Payments (Wires & ACH)
Knowledge of Banking Protocols - including Intermediary Banks
Experience with USD & Foreign Currency Transactions (FX)
Create/Manage Template Data
Experience with Online Bank Portals
Assist/Setup Bank Services for New Properties
CASH MANAGEMENT:
Prepare/Maintain Cash Forecast Schedule
Process Inter-Co Transfers
Review/Process Petty Cash Requests from Properties
CORP FINANCE:
General Knowledge of the following:
Loan Amortization & Maturity Schedules (Term, Swaps, Derivatives)
Interest Calculations, Principal Payments
OTHER TASKS:
Maintain User Access to Online Bank Portals
Assist to Open/Close Corp Bank Accounts
Partner with Internal Teams for Qtrly Reviews/Recon
Support GL & Audit Requests for Cash/Bank Reports as Needed
Special Projects as Needed
NONESSENTIAL FUNCTIONS
Present a professional image to employees, guests, clients, owners and investors.
Promotes positive public/employee relations at all times and maintains high morale.
Operate ethically to protect the image of Hard Rock.
Qualifications Minimum Requirements
Bachelor's degree in Finance, Accounting, Business, as well as minimum five (5) years of experience in financial services or banking environment.
Working knowledge using online bank portals/templates.
Working knowledge of foreign currency transactions.
Intermediate to advance knowledge of banking software platforms preferred.
Experience with inter-company transactions, domestic/international payments, template management.
Working knowledge of loan amortization schedules/interest calculations.
Must have strong skills in Microsoft Excel, and other Microsoft Office programs.
Must possess excellent time management skills, organizational skills, and interpersonal skills.
Must be detail oriented, problem solver and have strong analytical skills.
Capable of handling advanced accounting concepts with minimal supervision and ability to work within deadlines.
Language Skills
Must possess strong communication and listening skills, excellent speaking, reading and writing.
Comprehend and use technical or professional language, either written or spoken, to communicate complex ideas.
Ability to effectively present information in one-on-one and small group situations to customers, clients, and other employees of the organization.
Physical Demands
Ability to move throughout the corporate office (standing, walking, kneeling, and bending) for extended periods.
Ability to sit for extended periods.
Ability to make repeating movements of the arms, hands, and wrists.
Ability to occasionally move objects (lift, push, pull, balance, carry) up to 10 pounds.
Ability to tolerate exposure to heat, cold, chemicals, and loud/noisy environment.
Treasury Analyst • Davie, FL, United States
#J-18808-Ljbffr