We are looking for a detail-oriented Financial Systems Analyst to oversee and optimize our financial systems, ensuring their alignment with organizational goals. This role requires a deep understanding of accounting principles, financial processes, and system configurations, along with strong problem-solving skills. If you thrive in a dynamic environment and enjoy collaborating with cross-functional teams, this opportunity is ideal for you.<br><br>Responsibilities:<br>• Design, implement, and maintain financial systems to support efficient accounting operations and accurate reporting.<br>• Analyze business needs to develop technical solutions for managing finance and accounting data.<br>• Collaborate with finance, IT, and other teams to identify and implement process improvements.<br>• Customize financial applications to meet organizational and regulatory requirements.<br>• Develop and maintain comprehensive documentation of financial systems, including user guides and process flows.<br>• Create and enhance financial reports, dashboards, and visualizations to support strategic decision-making.<br>• Troubleshoot and resolve system issues to ensure consistent functionality and performance.<br>• Support month-end, quarter-end, and year-end close processes by maintaining data integrity and system readiness.<br>• Conduct system testing, user acceptance testing, and training for new implementations and updates.<br>• Monitor system performance, identify inefficiencies, and implement enhancements to optimize operations.
We are looking for a skilled Treasurer to oversee essential financial operations, focusing on cash flow optimization, liquidity management, and banking relationships. This role is integral to ensuring the company's financial stability and supporting project-based initiatives through effective treasury policies and controls. If you excel in analytical problem-solving and have a strong background in treasury management within dynamic industries, we encourage you to join our team in Salt Lake City, Utah.<br><br>Responsibilities:<br>• Develop and maintain accurate cash flow forecasts on daily, weekly, and monthly bases to ensure sufficient liquidity for operational needs.<br>• Manage banking relationships, oversee account operations, and evaluate services to optimize costs and efficiency.<br>• Monitor and manage the company’s working capital and debt facilities, ensuring compliance and minimizing interest expenses.<br>• Identify and mitigate financial risks such as cash flow uncertainties, foreign exchange fluctuations, and interest rate exposures.<br>• Implement and enforce treasury policies while driving improvements in processes and automating manual tasks.<br>• Oversee treasury management systems and ensure their effective utilization for streamlined financial operations.<br>• Collaborate with finance and operations teams to align cash flow strategies with business objectives.<br>• Evaluate short-term investment opportunities for excess cash to maximize returns.<br>• Prepare and present financial reports related to treasury activities to support strategic decision-making.