Milwaukee Tool is seeking a Financial Analyst I to support day-to-day and strategic operations within the Treasury Department, focusing on reporting, forecasting, and reconciliation.
Requirements
Bachelor’s degree or higher in Finance, Accounting, or Business
Experience with a large-scale ERP required
Proficiency with Excel and PowerPoint required
Responsibilities
Support the coordination of reconciliation and reporting of cash flow forecast, both internally and externally
Support the Treasury Team in day-to-day operations
Be a best-in-class support function working with companywide business partners
Maintain appropriate Accounting and Controllership department process compliance and controls
Preparation of key working capital forecasts and responsibility for creating the links between actuals and forecasts
Never settle mind set for process improvement of various Treasury functions
Support the Group Manager Accounting - Treasury on key projects