Treasury Financial Analyst - York, PA

Recruiter
DENTSPLY
Location
Pennsylvania
Salary
Competitive
Posted
14 Sep 2020
Closes
22 Sep 2020
Contract type
Permanent
Hours
Full time
Dentsply Sirona is the world's largest manufacturer of professional dental products and technologies, with a 130–year history of innovation and service to the dental industry and patients worldwide. Dentsply Sirona develops, manufactures, and markets a comprehensive solutions offering including dental and oral health products as well as other consumable medical devices under a strong portfolio of world class brands. Dentsply Sirona's products provide innovative, high–quality and effective solutions to advance patient care and deliver better and safer dentistry. Dentsply Sirona's global headquarters is located in Charlotte, North Carolina, USA. The company's shares are listed in the United States on NASDAQ under the symbol XRAY.Bringing out the best in people As advanced as dentistry is today, we are dedicated to making it even better. Our people have a passion for innovation and are committed to applying it to improve dental care. We live and breathe high performance, working as one global team, bringing out the best in each other for the benefit of dental patients, and the professionals who serve them. If you want to grow and develop as a part of a team that is shaping an industry, then we're looking for the best to join us.Working at Dentsply Sirona you are able to:Develop faster – with our commitment to the best professional development.Perform better – as part of a high–performance, empowering culture.Shape an industry – with a market leader that continues to drive innovation.Make a difference –by helping improve oral health worldwide.SummaryThe Treasury/Financial Analyst will participate in the daily operation of the Corporate Treasury Center of Excellence (CoE) function under the direction of the treasury management team. Areas of primary involvement include pension management, risk and insurance management, fleet management, precious metals consignment, cash management, global funds mobilization, investment and debt management, and exposure management (foreign exchange, interest rate and commodity price risk). Level of participation includes transaction processing, review and support of co–worker's efforts, summarizing and preparing accounting support for GL journals, preparing reports on activities and actions. The incumbent represents the Company working with external advisors and service providers, at the direction of the Treasurer, to achieve Treasury objectives. This description is representative of major duties and responsibilities, but not all–inclusive. Incumbent is expected to perform additional duties as necessary to fulfill the overall purpose of the job.Key ResponsibilitiesPension Management – Supports the administration of the U.S. pension plans, providing data analysis and record keeping of: Asset Management Trust statement activity, Census data review of HRIS participant records, review of eligible compensation, preparation of Financial Statements, review of Form 5500 support schedules, providing assistance to the annual Audit, maintaining calendar of events and due dates, and ensuring that funding dates are observed (401K, ESOP, DB Plans). The incumbent will work closely with the outside actuaries and will support the accounting, budgeting and reporting of Pension Plans worldwide. The incumbent will also assist with quarterly and annual SEC financial reporting (including the preparation of the quarterly and annual pension footnote disclosure and the accompanied support). Risk (Insurance) Management – Participates in the global administration of risk management by coordinating data collection and compilation to support underwriter pricing and risk assessment of our business profile. Auto Fleet Leasing Management – Supports the administration of auto leasing fleet management by providing data analysis used for evaluating services and costs to minimize the Company's total lifecycle fleet budget. Supports the outside fleet management vendor relationship and assists in developing and implementing new fleet management policies and procedures.Supports the administration of the Precious Metals (PM) Consignment facility by ensuring the timely preparation of inventory reports required under the Consignment Facility. Ensures the timely notification and payment of interest and principal.U.S. Cash Management – Participates, on a rotational schedule, in the management of the daily domestic cash position, providing review of funds mobilization and funding to ensure accuracy, proper authority of EFT's, and that an optimal investment or borrowing position is attained. Supports the administration of Commodity swap portfolio, ensuring the timely notification and settlement of interest. Credit & Collections Management – Supports Treasurer in reviewing and monitoring Accounts Receivable balances worldwide.Accounting Support – The incumbent must be capable of preparing the relevant monthly accounting support to document all transactions. The incumbent will possess the relevant accounting knowledge to explain an accounting result of given transactions to management or external auditors and be capable of identifying and correcting an incorrect result. Incumbent will at all times ensure that the documented internal controls are followed, and will identify and recommend to Treasury management changes to same for implementation.Other Duties– Global Liquidity Management, Investment Management, Debt Management, and Exposure Management (Foreign Exchange, Interest Rate, Commodity and Consignment).Key Skills and ExperienceBachelor's degree (B.A./B.S.) in Accounting, Finance, Business, Economics or some other related discipline. CPA, CMA, CTP or other related certification is an enhancement, but not required.Relevant work experience in the accounting, finance or treasury field preferredExperience working with financial data (actual, forecast, and budget) and financial models are preferredAbility to read, analyze, and interpret general business periodicals, professional journals, technical procedures, or governmental regulations. Ability to write reports, business correspondence, and procedure manuals. Ability to effectively present information and respond to questions from groups of managers, clients, customers, and the general public.Ability to work with mathematical concepts such as probability and statistical inference. Ability to apply concepts such as fractions, percentages, ratios, and proportions to practical situations.Ability to apply common sense understanding to carry out instructions furnished in written, oral, or diagram form. Ability to deal with problems involving several concrete variables in standardized situations.Experience with transaction & reporting systems including, but not limited to HyperionProficiency in Microsoft Office, with advanced Excel skillsDemonstrated ability to handle multiple projects at once, work under pressure, apply judgment and ask for aid in prioritizing as applicableDentsply Sirona is an Equal Opportunity/ Affirmative Action employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, age, sexual orientation, disability, or protected Veteran status. We appreciate your interest in Dentsply Sirona.If you need assistance with completing the online application due to a disability, please send an accommodation request to . Please be sure to include "Accommodation Request" in the subject.

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