Treasury Analyst
Seaspan Corporation
Vancouver, BC
1d ago

Company Background Atlas Corp. ( Atlas ) is a leading global asset management company with a focus on the maritime and energy sectors.

Differentiated by its position as a best-in-class owner and operator, Atlas deploys capital to create long-term shareholder value and boasts an experienced team with deep operational and capital allocation experience.

Atlas currently has two portfolio companies : Seaspan Corporation ( Seaspan ), the world’s largest containership management and ownership company, and APR Energy ( APR ), a global player in specialized fast-power solutions.

Seaspan acquired APR in late 2019, and Atlas was created in early 2020 as the holding company with Seaspan and APR becoming its wholly owned subsidiaries.

Atlas is currently listed on the New York Stock Exchange (NYSE : ATCO). Treasury Analyst Reporting to the Associate Manager, Treasury, the Treasury Analyst supports the processes related to corporate liquidity, cash and debt management for Atlas Corp.

and Atlas subsidiaries. The position initiates daily banking transactions, prepares reports and analyses, and assists the team with completing the integration of a Treasury Management System (TMS).

This position is an excellent opportunity for a candidate looking to grow their Treasury skills, own their responsibilities end-to-end, and enjoys a fast-paced environment.

Job Responsibilities Manages global cash for Atlas and Atlas’ subsidiaries including maintaining necessary cash levels for global locations Adheres to the debt calendar and makes timely payments to its domestic and international lenders taking into account banking hours and holidays in different countries Follows approval limits and proper processes in order to comply with SOX Assures debt facilities are accurately reported in the TMS at all times Maintains data integrity in TMS and assists with completing integration of the system Processes daily bank transactions including wires from the TMS, inter-company payments, and foreign exchange transactions Calculates accuracy of fees and insurance payments for debt facilities Performs ad-hoc projects as needed Provides vacation coverage for Treasury Analysts Requirements Bachelor’s degree from a recognized institution Minimum three years’ experience in finance and / or Treasury Experience working with a Treasury Management System or ERP system Understanding of domestic and international payment systems, foreign exchange principles, global / domestic cash management products and basic understanding of debt instruments like loans and bonds Strong attention to detail and time management skills Team player able to collaborate and communicate with many stakeholder departments Strong communication skills (both verbal and written) multi-lingual is an asset Additional Desired Qualifications General knowledge of banking, accounting or Treasury Previous experience in a Treasury role Automation experience Ability to work under pressure with strict deadlines Ability to work autonomously with a high level of responsibility Technologically savvy : experience with Excel / PowerBI, able to optimize processes with digital solutions and think outside the box

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