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Sr. Accountant (Treasury)

LG Energy Solution Michigan, Inc.
Posted a day ago, valid for 16 days
Location

Troy, MI, US

Salary

Competitive

Contract type

Full Time

Paid Time Off
Life Insurance
Disability Insurance

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Sonic Summary

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  • LG Energy Solution Michigan Inc. is seeking a motivated Treasury Accounting Associate in Troy, MI, to support regional treasury operations.
  • The position requires 3-7 years of relevant treasury or corporate finance experience and offers a competitive salary.
  • Key responsibilities include credit line management, cash flow forecasting, and mass payment processing.
  • Candidates should possess a bachelor's degree in Finance, Accounting, or a related field, along with proficiency in Microsoft Office and strong communication skills in both Korean and English.
  • The company provides comprehensive benefits, including 100% employer-paid medical, dental, and vision premiums, as well as a generous retirement savings plan.

LG Energy Solution Michigan Inc. (LGESMI) develops and manufactures large lithium-ion polymer batteries and packs for electric vehicle (EV) and energy storage applications. Come join the leader in advanced EV batteries! www.lgenergymi.com


Summary:  

LG Energy Solution Michigan has an immediate and exciting need for a treasury accounting associate in Troy, MI. We are seeking a motivated and detail-oriented Treasury/Finance Analyst to support our regional treasury operations, with a focus on credit line management, cash pooling, cash flow management, and mass payment. This position plays a key role in optimizing liquidity, ensuring timely execution of payments, and enhancing treasury control processes across U.S. regions.


Primary Responsibilities:

  • Credit Line Management
    • Maintain the master inventory of all committed and uncommitted facilities across U.S. entities, including limits, tenor, pricing, expiry, and guarantee or collateral structure.
    • Monitor daily utilization against available headroom and prepare periodic credit line status reporting for management and headquarters.
    • Support facility renewals, amendments, and new facility onboarding, including bank documentation, KYC refreshes, board resolutions, and signature authority updates.
    • Track covenant and lender reporting requirements, prepare supporting schedules, and escalate potential compliance issues on a timely basis.
  • Cash Flow Management
    • Prepare and analyze short- and mid-term cash flow forecasts.
    • Identify trends, variances, and opportunities to improve liquidity planning.
    • Collaborate with U.S. subsidiaries to improve accuracy of forecast inputs.
    • Determine daily funding requirements and recommend borrow, invest, or intercompany actions to maintain target minimum balances.
  • Cash Pooling Management
    • Monitor and manage daily cash positions across global bank accounts.
    • Support the execution and administration of physical and notional cash pooling structures.
    • Assist with internal funding strategies across subsidiaries and intercompany settlements.
    • Maintain intercompany positions arising from pooling, including interest accruals and periodic settlement or netting.
  • Mass Payment
    • Ensure timely and accurate processing of domestic and international payments.
    • Coordinate with AP, banks, and business entities to support scheduled disbursements.
    • Maintain payment templates and authorizations in banking platforms.
    • Review and validate documentation for new vendor banking details.
    • Ensure compliance with internal controls and fraud prevention policies.
  • Bank Reconciliation
    • Perform daily, weekly, and monthly reconciliations of bank accounts for an assigned entity.
    • Investigate and resolve discrepancies between bank records and internal ledgers.
    • Work closely with Accounting to ensure timely and accurate financial reporting.
  • Treasury Operations Support
    • Support treasury-related audits and compliance processes.
    • Help with onboarding and administration of banking partners and platforms.
    • Perform monthly financial closing duties.
  • Cross-Functional Collaboration
    • Work closely with Finance, Accounting, AP, and international subsidiaries.
    • Other duties as assigned.


 Qualifications:

  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • 3–7 years of relevant treasury or corporate finance experience.
  • Strong understanding of cash flow forecasting, cash management, bank reconciliation, and payment controls.
  • Experience with credit facility administration or bank borrowing arrangements is required.
  • Experience with global cash pooling and intercompany funding structures is preferred.
  • Experience with SAP HANA is a plus.
  • Proficient in Microsoft Office products, especially Excel.
  • Strong communication and collaboration skills.
  • Fluent in Korean and English (both written and verbal).
  • Positive, professional attitude and demonstrated effectiveness in accomplishing goals.
  • Excellent organizational, communication, and computer skills.
  • Effectively navigate systems to search required information.
  • Attention to detail, numerical data entry, and duplicate entries.
  • Ability to prioritize when working on multiple tasks, meet deadlines, and actively communicate with all levels of the organization.
  • Ability to handle confidential documents and information in a discreet and professional manner.
  • Knowledge of Generally Accepted Accounting Principles (GAAP) preferred.


Benefits Overview

  • 100% employer-paid Medical, Dental, and Vision premiums for you and your family
  • 100% employer-paid disability and life insurance
  • Generous Paid Time Off / Holidays
  • Opportunity to grow in a diverse work environment with a global company
  • 401k Retirement savings and planning with a generous company match

 

LGESMI is an Equal Opportunity employer that values the diversity of its workforce. EEO




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