Subsidiary
Steel DynamicsOverview
Reports directly to Treasury Director focusing on 1) analysis, reporting, and reconciliation of hedging activity between external and internal information; 2) daily cash monitoring and payment processes; and 3) analysis of other treasury topics as needed.
Responsibilities
Treasury Finance Â
- Coordinate information from accounting, operations, trading, and risk management to reconcile exchange-traded derivative positions between broker statements and our internal system of record.
- Perform monthly closing and reporting processes related to realized and unrealized exchange-traded derivative positions
- Supporting daily cash functions including payment processes and intercompany activities
- Works to drive improved control and efficiencies across treasury banking process. Eliminate redundancies and inconsistencies
- Supports the treasury director as needed, coordinates the accumulation of various financial analyses, and assists in the preparation of the summary materials for executive leadership and Board of Directors.
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Overall Responsibilities
- Support other various treasury functions
- Perform other duties as assigned
Qualifications
- Bachelor’s degree in accounting and/or finance; pursing CPA or MBA or other financial certification
- Entry level to 3 years of relevant accounting and financial analysis experience
- Strong analytical and problem-solving skills
- Effective written and verbal communication skills
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Steel Dynamics, Inc., and all affiliated entities are equal opportunity employers.Â
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