Atria Senior Living

  • Senior Treasury Analyst - Atria Senior Living

    Job Locations USA-KY-Louisville Metro
    Category
    Accounting/Finance
    Community Name
    Atria Senior Living
    Requisition ID
    2018-69339
  • Overview

    Atria Senior Living is a leading operator of independent living, assisted living, supportive living, and memory care communities in 190 locations in 27 states and seven Canadian provinces. We are the residence of choice for more than 21,000 seniors, and the workplace of choice for more than 14,600 employees. We create vibrant communities where older adults can thrive and participate, know that their contributions are valued, and enjoy access to opportunities and support that help them continue making a difference in our world. 

     

    Atria is an equal opportunity employer.  Atria provides equal employment opportunities to all employees and applicants for employment without regard to race, color, religion, gender, sexual orientation, age, national origin, disability, veteran status, or any other classification protected by applicable law.  Atria also does not condone or tolerate an atmosphere of intimidation or harassment based on these protected classifications.  We require the cooperation of all employees in maintaining a discrimination-free and harassment-free work environment.

    Responsibilities

    • Monitor and analyze company cash position by pulling prior day bank statements, prepare cash reports, prepare current day cash position and communicate information to supervisor for investment purposes.
    • Initiate wire transfers, book transfers, ACH’s, EFT’s, and transmit positive pay files.
    • Process miscellaneous corporate cash receipts.
    • Review and analyze monthly bank analysis statements to ensure appropriateness of charges and adherence to fee schedules.
    • Make recommendations to minimize treasury costs including bank charges and fees. 
    • Prepare monthly and daily journal entries for all cash account activity (wires, transfers, deposits); review journal entries generated by Treasury Workstation.
    • Prepare monthly debt and lease requests.
    • Forecast and update cash forecasts.
    • Complete assigned Balance Sheet reconciliations.
    • May perform other duties as assigned. 

    Qualifications

    • One to three years general accounting or finance experience.
    • Bachelor’s Degree in a Business related field is required.
    • Ability to quickly learn new software programs and go beyond basic understanding and usage.  Examples of software are bank products and treasury workstations.
    • Proficient with Microsoft Office applications, especially Excel.
    • Experience in PeopleSoft and Treasura preferred.

    Options

    Sorry the Share function is not working properly at this moment. Please refresh the page and try again later.
    Share on your newsfeed