Belong. Believe. Be You. Belden.
Propel your career surrounded by a diverse team of innovative, goal-oriented individuals who are pursuing the next generation of connectivity solutions. At Belden, you’ll participate in work that will challenge you and position you to excel. You’ll collaborate with colleagues from around the world, gaining exposure to a broad base of expertise and perspectives,
Together, we’ll continue a journey of innovation, creating a connected world and paving the way for automation. Join us and let’s build the future.
Job Summary
Belden’s Treasury Specialist assists in the daily operations of the Treasury team. Under this role, you will manage daily cash positions, including forecasting cash flows and analyzing cash balances to optimize liquidity. You will also prepare and analyze daily, weekly, and monthly cash and treasury reports. In summary, you will serve as a support for our accounting team to reconcile bank accounts and prepare monthly bank statements. This role will be based in our Division Office in Richmond, Indiana.
You will make an impact in the following ways:
What you will bring:
Let’s Write the Next 100 Years Together.
Join a global community striving to improve connectivity and security. The work we’re doing puts our people on the front lines of impacting lives and shaping the future. Propel your story of innovation by helping Belden write the next chapter in ours. Shape your future at Belden.
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These statements are intended to describe the general nature and level of work involved for this job. It is not an exhaustive list of all responsibilities, duties and skills required of this job.
This company is an equal opportunity employer and makes employment decisions without regard to race, gender, disability, or protected veteran status.
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