Student Veterans of America Jobs

Welcome to SVA’s jobs portal, your one-stop shop for finding the most up to date source of employment opportunities. We have partnered with the National Labor Exchange to provide you this information. You may be looking for part-time employment to supplement your income while you are in school. You might be looking for an internship to add experience to your resume. And you may be completing your training ready to start a new career. This site has all of those types of jobs.

Here are a few things you should know:
  • This site is mobile friendly. You do not need a log-in or password to access information.
  • Jobs on this site are original and unduplicated and come from three sources: the Federal government, state workforce agency job banks, and corporate career websites. All jobs are vetted to ensure there are no scams, training schemes, or phishing.
  • The site is refreshed daily to remove out-of-date content.
  • The newest jobs are listed first, so use the search features to match your interests. You can look for jobs in a specific geographical location, by title or keyword, or you can use the military crosswalk. You may want to do something different from your military career, but you undoubtedly have skills from that occupation that match to a civilian job.

Job Information

LG Energy Solution Analyst I, Treasury in Holland, Michigan

Title: Analyst I, Treasury

Location: Holland, MI

LG Energy Solution Michigan Inc. (LGESMI) develops and manufactures large lithium ion polymer batteries and packs for electric vehicle (EV) and energy storage applications. Come join the leader in advanced EV batteries! www.lgenergymi.com

Summary

In this role, you will support Treasury/Finance policies, procedures, and implementation of effective controls for all treasury functions to include, but not limited to: daily liquidity and cash management, vendor payment management, overall capital structure, corporate card management, financial risk management, and treasury accounting for the organization.

Responsibilities:

  • Monitor financial activities and details, such as cash flow and reserve levels, to ensure that all legal and regulatory requirements are met

  • Prepare and process payments via check, ACH, and wire transfers, in accordance with payment terms and company policies.

  • Support the development of internal control policies, guidelines, and procedures for activities, such as budget administration, cash and credit management, and accounting

  • Daily cash management

  • Work closely with others on the forecasting of cash flow

  • Oversee the liquidity position of various locations and own the critical task of ensuring adequate funding to these businesses

  • Apply advanced cash management skills, while exercising sound judgement in decisions

  • Maintain the bank account/cash management infrastructure, modifying as necessary to support changes in the business

  • Develop and maintain relationships with banking, insurance, and accounting teams to facilitate financial activities

  • Receive, record, and authorize requests for disbursements in accordance with company policies and procedures

  • Evaluate customers’ trade credit worthiness

  • Support AR management and help resolve collection issues

  • Assist in the monitoring of the global capital structure to ensure components of liquidity, earnings, dividends, and share repurchases remain in the optimal balance

  • Provide direction and assistance to other organizational units regarding accounting and budgeting policies and procedures and efficient control and utilization of financial resources

  • Maintain cleanliness at work-site in accordance with 5S3R Standards:

  • Sort, Set in order, Shine, Standardize, Sustain

  • Right Location, Right Quantity, Right Container

  • Perform other duties as assigned

Qualifications:

  • Bachelor’s degree in accounting, finance or related field or equivalent, relevant experience

  • Certified Treasury Professional preferred, or accountant with relevant treasury experience

Experience:

  • 1 to 3+ years in corporate treasury role or related experience

Skills:

  • Understanding of Generally Accepted Accounting Principles (GAAP)

  • Compliance and control mindset

  • Data Analysis

  • MS Office Suite, including advanced MS Excel Skills

  • Strong analytical, financial modeling, and reporting skills

  • Excellent time management and organizational ability

  • Strong communication and presentation skills

  • Attention to Detail

  • Collaboration

  • Ability to work flexible hours as needed to support and work with HQ and global sites

Benefits Overview

  • 100% employer paid Medical, Dental, and Vision premium for you and your family

  • 100% employer-paid disability and life insurance

  • Employer supported childcare/babysitting programs

  • Generous Paid Time Off / Holidays

  • Opportunity to grow in diverse work environment with a global company

  • 401k Retirement savings and planning with generous company match

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