Treasury Analyst

Posted 2 Days Ago
Be an Early Applicant
Stamford, CT
Junior
Energy
The Role
The Treasury Analyst role involves daily cash flow reporting and forecasting, developing custom reporting solutions, maintaining financial data sets related to liquidity, and preparing borrowing base reports. The analyst will work closely with corporate accounting and support bank account management while ensuring accurate analysis and reporting for treasury-related activities.
Summary Generated by Built In

Castleton Commodities International is hiring a Treasury Analyst, reporting to the Treasurer in our Stamford, CT office. The primary responsibilities include daily cash flow reporting and forecasting, reporting and analysis associated with the company’s primary credit facilities, automation of data and reports sourced from multiple trade and accounting systems, and engagement in treasury-related projects for Castleton Commodities International entities.

Responsibilities:

  • Prepare daily cash flow reports and aggregate cash flow forecasts for multiple corporate entities in multiple currencies. Coordinate the collection of information from various functions and company data sets to ensure the cash forecast is highly accurate. Requires engagement with trade settlements, cash operations, credit, futures clearing and business development teams.
  • Develop and implement custom solutions to enhance and improve reporting and data analysis for Treasury management, business performance reviews, annual budgeting and associated financial planning.
  • Coordinate and maintain data sets used to support financial reporting requirements, which can include foreign exchange exposure, working capital usage, counterparty exposures, and changes in cash and liquidity positions.
  • Prepare monthly borrowing base reports required under the company’s lines of credit, including detailed schedules and analysis of inventory, accounts receivable, mark-to-market gains, and affiliate transactions.  Enhance the reporting process to improve timeliness and reconciliation of associated financial data.  Support additional diligence and audit requests in connection with monthly treasury reports.
  • Provide timely and accurate analysis and reporting for variety of daily, monthly, and quarterly reporting packages.
  • Work closely with corporate accounting to ensure that treasury-related activities are recorded in an accurate and timely manner.
  • Analyze FX cash positions and forecasting to ensure FX cash needs are met while minimizing exposure due to currency market fluctuations.
  • Support bank account management and detailed reporting of cash positions.

Qualifications:

  • Bachelor’s Degree in Accounting, Finance, Economics, or a related field of study.
  • Minimum of 2 years in a Corporate Finance or Treasury related role.
  • Demonstrated capability in database management, SQL, VBA; familiarity with Alteryx and Power Automate tools also preferred.
  • Proficiency in MS Excel, Word, and PowerPoint required.
  • Strong analytical and communication skills, including verbal and written skills.
  • Highly organized and ability to work independently.
  • Energetic and determined attitude.
  • Detail-oriented
  • Problem-solving skills
  • Ability to simultaneously manage multiple activities to completion.
  • General knowledge of corporate finance and accounting

Employee Programs & Benefits:

CCI offers competitive benefits and programs to support our employees, their families and local communities. These include:

  • Competitive comprehensive medical, dental, retirement and life insurance benefits

  • Employee assistance & wellness programs

  • Parental and family leave policies

  • CCI in the Community: Each office has a Charity Committee and as a part of this program employees are allocated 2 days annually to volunteer at the selected charities.

  • Charitable contribution match program

  • Tuition assistance & reimbursement

  • Quarterly Innovation & Collaboration Awards

  • Employee discount program, including access to fitness facilities

  • Competitive paid time off

  • Continued learning opportunities

Visit  https://www.cci.com/careers/life-at-cci/# to learn more!

#LI-CD1

Top Skills

SQL
VBA
The Company
HQ: Stamford, CT
573 Employees
On-site Workplace
Year Founded: 2001

What We Do

Castleton Commodities International is an independent global energy commodity merchant and infrastructure asset investor. As a trader, CCI deploys capital on a proprietary basis in the physical and financial commodity markets, providing the Company with market insights and access. As a strategic investor and developer, CCI leverages its market expertise, operations capabilities, and industry knowledge to invest in, and develop, select commodity infrastructure assets.

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