Sr Analyst
Hoya Vision CareAbout the role
With a focus on internal controls compliance, the Treasury & Cash Management Analyst will monitor, plan, and manage the efficient utilization of cash and financial services in a manner consistent with the objectives of the local, regional, and global organizations at Hoya. A key responsibility of this role is to lead the development and continuous improvement of accurate and reliable cash forecasting processes to support strategic decision-making and liquidity planning. The role also includes significant collaboration with Finance and Accounting team members to ensure intercompany receivables and payables are well known, accurate, and reconciled. Additional support for Finance and Accounting functions will be a substantial portion of this role.
Bank Management
Manage relationships with Hoya’s banking partners.
Administer banking responsibilities, including SOP ownership for account roles.
Maintain access and viewing rights, and update as personnel changes occur.
Ensure master data integrity for banking terms, roles, tokens, etc.
Maintain schema of banking structure and scope of business per account.
Ensure data flows with banks are functioning and secure.
Internal Reporting & Management
Monitor and report daily cash positions to Hoya stakeholders.
Manage cash commitments to ensure adequate coverage.
Benchmark treasury tools and features to ensure efficiency and security.
Cash Forecasting
Lead the development and maintenance of weekly and monthly cash forecasts using appropriate methods.
Collaborate cross-functionally with FP&A, Accounts Payable, Accounts Receivable, General Accounting, and Payroll to ensure alignment between financial planning and actual cash activity.
Perform detailed variance analysis between forecasted and actual cash flows, identifying root causes and recommending corrective actions.
Enhance forecasting models and methodologies to improve accuracy, reliability, and responsiveness to business changes.
Provide actionable insights and scenario planning to support strategic liquidity decisions.
Intercompany Collaboration
Work closely with Finance and Accounting teams to ensure intercompany receivables and payables are accurately tracked, reconciled, and reported.
Support monthly and quarterly close processes by providing timely and accurate intercompany cash flow data.
Assist in resolving discrepancies and improving visibility into intercompany transactions.
Cash Disbursements & Receipts Mechanisms
Manage relationships with banks supporting Corporate Credit Cards (Travel, Pcard, Virtual AP Card, etc.).
Oversee credit card receipt programs/providers and related agreements.
Manage ACH disbursements and receipts for efficiency and security.
Transactional
Understand and manage appropriate accounting procedures and processes.
Track and report on financial service costs (bank fees, credit card fees).
Develop and manage ERP data to support cash management functions.
Transfer funds between accounts to optimize short-term investments.
Assist with management of unclaimed property related to AP & AR.
Finance & Accounting Support
Provide ongoing support to Finance and Accounting teams on various projects and operational needs.
Assist with ad hoc analysis, reporting, and reconciliations as requested.
Participate in cross-functional initiatives that impact cash flow, financial reporting, or operational efficiency.
COMPETENCIES
Technical Skills commensurate with the positi
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