Treasury Analyst in Omaha, NE at Valmont Careers

Date Posted: 2/19/2018

Job Snapshot

Job Description

One Valmont Plaza Omaha Nebraska 68154-5215

Why Valmont
 

Welcome to Valmont, where a world of opportunity awaits. When you join our team, you become part of a passionate group dedicated to changing lives and conserving resources around the globe. We want problem solvers who roll up their sleeves to foster progress and innovation for all people. At Valmont, we provide infrastructure, irrigation, tubing and coatings to the world. We strengthen cities. We nourish croplands. We design, manufacture and coat. Our products and services make a difference. Join us, and BUILD YOUR WORLD.

This position performs work under the general supervision of the Director of Treasury.  This position provides services to the Treasury Department and is primarily responsible for ensuring the policies and procedures are followed.  This includes the collection of global cash balance, cash variance analysis, disbursement management, bank account/lockbox analysis, maintaining the SharePoint Site and Travel and Entertainment Card compliance.  Other duties include the backup of the daily cash management process.  This includes the preparation of the daily cash position, initiating domestic and foreign wires and ACH transfers, administrating stop payments, voids, manual checks, vendor calls and address updates.


The incumbent must be able to accurately maintain records and files, establish priorities, work independently and meet deadlines, and handle sensitive and confidential materials.  Strong oral communication skills and accurate typing speed of 40 wpm is required.  The incumbent must be proficient in the use of spreadsheets, word processing software, basic accounting skills and familiarity with accounting, banking and insurance terminology.


Basic Qualifications:

  • Bachelor’s degree from an accredited college or university with major course work in finance or accounting
  • Advanced knowledge of Microsoft Office applications (Excel, Access, PowerPoint and Word), including work with complex formulas and calculations

Minimum Qualifications:

  • Ability to use technology tools, best practices and creativity to improve Treasury Department’s function and efficiency
  • Critical thinking and problem solving capability
  • Ability to work on multiple projects simultaneously and prioritize work
  • Strong and consistent attention to detail with an aptitude to meet deadlines with a high degree of accuracy
  • Excellent analytical and organizational skills
  • Self-motivated with a high level of initiative
  • Ability to build strong, trusted relationships with internal and external customers
  • Demonstrated ability to handle confidential and sensitive information
  • Reading, understanding, and applying the standards of the Code of Business Conduct


Preferred Qualifications:


  • Certified Treasury Professional (CTP), Certified Cash Manager (CCM) or Chartered Financial Analyst Certification (CFA)
  • Prior experience in treasury operations


All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, gender identity, sexual orientation, national origin, disability or protected veteran status.



Valmont does not discriminate against any employee or applicant in employment opportunities or practices on the basis of race, color, religion, sex, sexual orientation, gender identity, national origin, age, genetic information, veteran status, disability or any other characteristic protected by law.

If you have a disability and require any assistance in filling out the application for employment, call (402) 963-1115 or email EEOCompliance@Valmont.com.