The Team You Will Be Joining
- A rapidly transforming Fortune 500 B2C company
- Strong, established business model with consistent growth
- A company that focuses on being involved and giving back to the community
What They Offer You
- A collaborative and energetic team culture with a focus on positive attitudes and strong interpersonal relationships
- Flexible hybrid work model encouraging presence in the office several days a week
- Opportunities for travel to meet with store management and participate in annual all-hands meetings to build team connections
- Clear growth potential within the finance department, with examples of internal promotions from analyst to director and manager roles
- Supportive environment valuing both technical skills and the ability to collaborate and communicate across business functions
Location:
- Hybrid - Expectation of being in the office 3 to 5 days a week
WHY THIS ROLE IS IMPORTANT:
- You will be responsible for working within the treasury operations along with the company's ongoing cash positioning
- You will work with management to create and monitor financial models including analysis.
- You will work closely with multiple departments including FP&A, Accounting, Audit, and Tax to assist with cash management and forecasting
- You will work closely with financial institutions and banks along with maintain and recommend controls and fraud prevention
- You will administer and oversee corporate payment systems including wire transfers, ACH's, and more.
THE BACKGROUND THAT FITS:
- A Bachelors degree in Accounting or Finance preferred
- 3+ years of experience in financial analysis, corporate finance, FP&A, or Treasury
- Ambitious mindset to seize opportunity of advancement and ownership of process improvement related projects
- Ability to analyze and recommend efficiency creations and areas for improvement/automation