Department Overview :
Treasury and Real Estate department is part of University Financial Services (UFS) and supports the University’s Academic Mission by :
- Provide daily cash and banking services
- Manage debt and investment portfolios
- Acquisition or lease of approved space in support of the campus master plan
- Coordinate financing and debt issuance for approved campus projects
- Provide business case analysis and advising to campus departments
This position has the opportunity for hybrid and / or flexible scheduling but must be in-person at the beginning of employment for onboarding and training.
Level Scope :
Fully competent and productive professional contributor who applies acquired job skills, policies and procedures to complete substantive assignments / projects / tasks of moderate scope and complexity. Works independently with general supervision; exercises judgment within defined guidelines and practices to determine appropriate action. May provide guidance and assistance to entry level professionals and / or support employees.
Essential Functions :
Assists with treasury operations including but not limited to daily cash positioning, wire and payment requests, investments, capital projects and bank reporting.Monitor, analyze, and process daily exception reports to ensure timely resolution of discrepancies.Assists in the monthly, quarterly and fiscal year-end process as needed including but not limited to preparation of journal entries, work papers, reconciliations and account analysis.Perform comprehensive assessment and analysis of credit card processing fees, utilizing reports pulled from banking systems and preparing accurate monthly journal entries.Prepare, analyze, and / or audit financial records and documents.Quarterly financial statement analysis on assigned financial statement rollups verifying fiscal records and preparation of statistical reports and analysis.Analyze and validate key accounting data, including account reconciliations and the upstream transactional data that populates journal entries.Prepares complex reports, schedules and special studies requiring a broad knowledge of principles, practices and procedures for both internal and external financial reporting requirements and year-end audit. Analytical review of complex account reconciliations.Interprets, applies and explains complex laws, codes, regulations or ordinances. Research and analyze data for accuracy, trends and variances to ensure appropriate accounting procedures have been followed for compliance with federal and state laws and regulations and University policy.Routinely makes decisions regarding proper processing, booking and reporting of transactions. Reconciling account balances and external statements, maintaining general ledger and preparing month-end close procedure.Perform other duties as assigned.Knowledge, Skills, Abilities :
Experience preparing financial and / or auditor statements, schedules and reports.Experience interpreting, applying and explaining complex laws, codes, regulations or ordinances.Knowledge of governmental accounting practices and principles.Attention to detail.Experience in effective data presentation using Excel and / or other spreadsheet computer applications.Demonstrated experience in financial analysis.Minimum Qualifications :
Bachelor's degree or equivalent plus two years of experience.
Preferred Qualifications :
Experience with accounting information systems.Experience with banking and financial systems.Experience collaborating with a varied team of professionals.Experience with a complex ERP environment.Working knowledge of treasury operations.