Cash Manager

  • Full-time

Company Description

Phoenix American is a leader in the field of securitization administration and accounting. For over thirty years the Phoenix American family of companies has specialized in creating lease and loan portfolios and has securitized six of its own structured transactions. Directly involved in the securitization market since 1995, today Phoenix American manages securitized aviation assets appraised at over $9 billion.

Our long history of success attests to Phoenix American's peerless industry knowledge, skilled and seasoned professional staff and solid relationships with major players in the securitization industry.

  • Aircraft Lessors
  • Investment Banks
  • Investors
  • Trustees
  • Rating Agencies
  • Auditing and Accounting Firms
  • Law Firms
  • Appraisers

Job Description

Job Summary:

Full-time position to oversee all banking functions, including corporate accounts payable, daily deposit process, disbursement of funds for clients of multiple service platforms and foreign currency transactions. Also, handle communication with domestic and foreign banks for both internal and external clients. This position will manage a team of 3 in daily operations and will be responsible for maintaining a high degree of customer service on all processes. We are seeking a highly organized, self-motivated, detail-oriented person for the position willing to participate in the processes as needed.

Essential Duties and Responsibilities:

· Hands-on supervision of accounts payable processes, including daily invoice processing, weekly check runs, month-end close to General Ledger and perform related reporting and reconciliations.

· Supervise and participate in daily communication with banks performing transactions on behalf of clients.

· Perform daily cash balance, activity and projection reporting, including reporting to senior management.

· Hands-on supervision of daily deposit processes, plus daily review of bank balances and reporting.

· Monitor departmental deadlines and liaison with other departments to ensure timely submission of payment requests.

· Manage and perform annual processing of corporate IRS Form 1099s to applicable vendors and ensure compliance to regulations.

· Assist in migration to Oracle Financials AP & AR modules in Release 12i from current version 10.

· Responsible for establishing and maintaining appropriate policies & procedures and internal controls.

· Create new methods for efficiencies as applicable.

· Interact with internal departments, external clients, and coordinate with oversees subsidiary companies performing similar processes.

Qualifications

Qualifications:

· Bachelor’s degree in Accounting and/or Finance

· At least 7+ years of work experience in cash management functions required

· Prior experience in managing staff required.

· Understanding of banking industry processes terminology.

· Understanding general ledger transactions.

· Intermediate to advanced knowledge of Microsoft Excel and other Microsoft Office applications.
· Prior experience with Oracle accounting software preferred.

· Must have strong communication and organizational skills.
· Must have excellent analytical skills and be detail-oriented.

Additional Information

Candidate Profile:

· Seeks to enhance knowledge and skills.
· Adapts to new situations and changing work responsibilities.

· Functions as an effective team member and supervisor.
· Interacts and cooperates to assist others.

· Addresses issues and makes suitable suggestions.

EQUAL OPPORTUNITY EMPLOYER