Treasury Administrator I role is based solely within the Vernon Office. This role's primary responsibility is to ensure the timely and accurate deposit of Kal Tire's incoming cheques and coordinating cheque disbursements. The Treasury Administrator I will also provide administrative support to both the Treasury and Accounts Receivable (AR) teams as required.
Core Responsibilities
Data ManagementRecord daily exchange rates and populate PeopleSoft
Download daily electronic payment files from BMO to AR Folder
Download monthly bank statements
Organize and update online departmental folders for Banking and Accounts Receivable
Daily DepositsReceive, sort and deposit incoming cheques at Vernon Office
Identify AR payments vs internal deposit items
Scan AR cheque batches for uploading into Cash Application software GetPaid
Follow up with other departments for coding on internal deposit items
Responsible for ensuring funds are taken to the bank if electronic deposit fails
Process weekly funds 'sweep' out of smaller banks
Payment AdministrationProcess outgoing payments:
EFT batches - daily/weekly
Online banking payments
Wire templates and payments
Verbally confirm banking for new vendor wires
Set up templates for regular vendor wires
Perform rolling audits on existing templates
Confirm banking information and update if needed
Inactivate templates not used in 2 years
Process weekly On and Off Cycles for Payroll - EFT and cheques
Process Stop Payments in BMO for staledated items or as requested
Process Recall requests on EFT items
Cheque Exception validation
Cheque PrintingFacilitate the cheque print requests in PeopleSoft,
Balance cheque batches printed to Wycom for AP and Payroll
ensuring all are processed, legible and are signed
Presents over limit cheques to authorized approvers
Once complete communicates to AP and hands the documents off to the Mailroom for distribution
Ensures there is enough cheque stock, toner etc on hand
Troubleshoots cheque printers, logging tickets when maintenance/support is required
CommunicationContacts BMO bank representatives as needed
Contacts internal and external customers when additional information regarding where or what a received cheque is intended. Eg dept/business unit
Contacts customers that send physical cheques to encourage moving to an electronic payment method
Contacts Domestic and International vendors to confirm banking information prior to setting up wire templates
Liaise between store locations and Moneris when new terminals are upgraded, replaced and/or not returned
Letters of DirectionDraw up LOD for new location setups, night drop keys, increase in float etc
Request foreign funds, Bank Drafts, etc as needed
New/Closed Location ProtocolRecord new/closed locations on spreadsheet
Confirm with BMO closest branch
Set up banking for new stores - see Letters of Direction
Order deposit slips, bags etc through the Mailroom
Work Experience
Minimum 1 year experience working in an office environment
Knowledge, Skills and Abilities
Knowledge of accounting principles and processes
Proficient in Excel
Excellent interpersonal and communication skills
Ability to multi task and prioritize workload
Strong work ethic
High focus on customer service
High level of maturity and professionalism
Work well within a team
Education
Grade 12 or GED equivalent
What we offer
Competitive compensation package. The target compensation for this role is $43,480 to $49,980 per year based on experience. We offer a clear path for career advancement with wage increases along the way.
Comprehensive medical and dental benefits
Employee Assistance Program
A group RRSP/DPSP matching program
Discount on tires and mechanical services
Positive work culture, opportunities for growth and development, and work-life balance.
* Opportunities for professional development, such as training programs, mentorship, and tuition reimbursement.
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