New Brunswick, New Jersey, United States of America
$79,000.00 - $127,650.00 py
Cash & debt forecast & actuals
External sec filings
Banking relationships management
The Corporate Treasury Services Senior Financial Analyst will focus on Cash & Debt + Financing forecasts, reporting and analysis, preparing quarterly and annual Cash & Debt footnotes for 10Q/10K filings and managing enterprise bank relationships
Job Summary
The Corporate Treasury Services Senior Financial Analyst will focus on Cash & Debt + Financing forecasts, reporting and analysis, preparing quarterly and annual Cash & Debt footnotes for 10Q/10K filings and managing enterprise bank relationships.
This role will be critical in developing relationships with key stakeholders within Treasury teams as well as relevant business partners internally at J&J (e.g Consolidations) and externally (banking partners) to ensure business requirements/needs are being met.
Employees are eligible to participate in the Company’s consolidated retirement plan (pension) and savings plan (401(k)), and are eligible for long-term incentive program participation, along with various time off benefits.
Matching Summary
The Corporate Treasury Services Senior Financial Analyst will focus on Cash & Debt + Financing forecasts, reporting and analysis, preparing quarterly and annual Cash & Debt footnotes for 10Q/10K filings and managing enterprise bank relationships.
Salary
$79,000.00 - $127,650.00
Skills & Requirements
Must-have
Cash & Debt Forecast & Actuals
External SEC Filings
Banking Relationships Management
Financial Analysis
Microsoft Excel skills
Nice-to-have
Intellectual curiosity
Process improvement recommendations
Dynamic environment adaptability
Stakeholder relationship building
Key Requirements
Bachelor's degree in Finance, Economics, or Accounting
3 years of treasury, finance, accounting, or related business experience