Sr. Enterprise Financial Analyst (Treasury) - Hybrid, Dallas TX
We are seeking an experienced finance and treasury professional with strong analytical and technical skills to help modernize and enhance our global treasury operations. This role is ideal for someone who understands cash flow, liquidity and corporate finance. You will partner closely with the Assistant Treasurer and global finance teams to optimize forecasting, reporting and decision-making through automation and advanced analytics.
Key areas of focus include :
- Cash forecasting and planning at the enterprise level
- Advancing our standardization and automation efforts across all treasury activities with heavy emphasis on forecasting and reporting
- Identify and implement process improvements to reduce manual work, enhance data quality and accelerate reporting cycles
- Global cash and liquidity management
- Coordinate and drive quarterly cash collections across the organization
- Sarbanes Oxley and process controls
- Candidates will need to be effective communicators and comfortable influencing outcomes across functional areas in a matrixed organization with exposure and opportunities to build relationships with senior leaders
Key responsibilities may include, but are not limited to :
Support the Assistant Treasurer and team in driving AECOM to deliver strong operating cash flow to support capital allocation prioritiesDesign, enhance and maintain global cash forecasting, liquidity management and annual planning processes from raw data ingestion to final executive presentationLeads the management of the Treasury Management System (Kyriba), overseeing bank connectivity, data integrations and reporting infrastructure to maximize functionality and insight deliverDrive process improvements to reduce manual work, improve data quality and accelerate reporting cycles across all treasury activitiesPartner with cross-functional teams on system integrations, upgrades, and automation initiatives that impact TreasurySupport the preparation and automation of Treasury schedules for accounting close, GAAP financials, and SEC filings.Provides support during M&A transactions and Investor Relations activities facing internal and external audiencesSupport daily liquidity and other transactional requirements such as transfer of funds, issuance of letters of credit and bank guarantees, revolver draws / repayment, etc.Ad hoc projects and analysis as assigned (such as analyzing foreign exchange and interest rate risks, capital structure and capital allocation analysis)Minimum Requirements :
BA / BS in finance, accounting, mathematics, or related field plus at least 4 years of relevant experience in treasury, corporate finance, banking or a related finance role, or demonstrated equivalency of experience and / or educationDemonstrated ability to analyze and interpret financial statements and cash flow driversExperience with data modeling and automation of financial processesStrong knowledge of financial and accounting principles with the ability to interpret financial statementsStrong communication skills (both interpersonal and written) and the ability to translate insights for non-technical stakeholdersProven ability to thrive in a fast-paced, dynamic environmentAdvanced Excel skills and proficiency with MS Word and PowerPointPreferred Qualifications :
Experience with Kyriba or other treasury management systemsWorking knowledge of Python and / or SQL for financial data analysis and automations (eg; using Pandas, NumPy or SQL Server)BI tool experience (PowerBI, Tableau, or similar)Exposure to AI / ML techniques to forecasting, anomaly detection, or treasury analyticsFamiliarity with cloud-based data platformsMBA or Certified Treasury Professional (CTP)