Sr. Treasury Analyst
Advance Auto Parts
Office
RALEIGH, United States
Full Time
Job Description
PRIMARY FUNCTIONS AND ESSENTIAL REPSONSIBILITIES
- Monitor and analyze the company’s daily cash position to cover cash commitments and coordinate and optimize the short-term borrowing or investments, or assist in the execution of the daily cash management duties
- Pool cash from all secondary bank accounts when necessary
- Administer the ACH program
- Lead and assist with treasury projects and initiatives
- Adhere to month-end cut-off schedules by cash department personnel for reconciliations of all cash-related accounts, all month-end processes, and all related journal entries
- Assist in executing standby letters of credit, export letters of credit, performance bonds and similar instruments
- Prepare daily, weekly and monthly reports on the global cash position
- Assist with the company’s hedging program
- Perform balance sheet substantiation and commentaries at month-end
- Perform data integrity and balance sheet verification
- Assist with risk management by identifying/recommending strategies to minimize foreign currency, interest rate and commodity exposures
- Assist with short- and long-term intercompany settlements and transactions
- Provide information in connection with the external and internal audits and monitors cash management activities to ensure compliance
- Approve foreign exchange, wire transactions, and facilitate other credit line transactions
- Support FX front office processes including loading FX trades and rates, maintaining settlement instructions and updating FX mandates with counterparty banks
- Assist with implementation of a FX exposure management tool
- Develop, monitor and analyze bank fees including credit card and cash management expenses
- Maintain positive banking relationships with depository banks
- Assist in maintaining banking records and legal documentation including SOX- and FBAR-related documentation
- Work with treasury management to maintain and rationalize the company’s choice of key global banks including the analysis of bank fee structures, services, relationships, credit levels and counterparty credit quality/exposure
- Assist other departments (e.g., audit, accounting) with quarter-end and ad-hoc information requests as needed
- Act as a treasury liaison with the company’s business units in setting up new banking accounts, services, and handling bank inquiries and related matters
- Work with company’s business units to prepare weekly cash forecasts and other cash and borrowing projection models; coordinate with teams to identify and mitigate forecasting variances
- Support corporate accounting, corporate tax, financial planning, internal audit and other functions as they relate to treasury transactions and entity structures
- Work with FP&A on developing operating cash flow forecasts, enhance visibility into global cash balances, optimize working capital and establish metrics/KPIs
- Recommend and implement solutions to strengthen operational controls and incorporate best practices.
- Assist with presentation material for investors, rating agencies or the Board of Directors, as needed
EDUCATION
- Bachelor’s degree in finance, accounting, economics or related field required
- MBA preferred
RELEVANT CERTIFICATIONS
- CTP
- CPA
- CFA
KNOWLEDGE REQUIRED
- Ability to quickly understand complex transactions
- Knowledge of the banking industry and technical knowledge of bank products and FX
- Ability to apply finance and treasury principles
- Strong Excel skills
- Familiarity with Oracle ERP systems preferred
EXPERIENCE REQUIRED
- 3-5 years of corporate treasury experience and/or banking experience
SKILLS / ABILITIES
- Ability to multi-task in fast-paced environment
- Strong analytical and modeling skills
- Effective planning and priority setting abilities
- Must be well-organized and detail-oriented
- Ability to work independently and collaboratively
- Good communication skills, written and verbal
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Sr. Treasury Analyst
Office
RALEIGH, United States
Full Time
July 16, 2025