CIT Group Inc.

  • Senior Analyst - Cash Change Management

    Location US-NJ-Livingston
    Job ID
    32323
    # Positions
    1
    Job Family
    Finance - Treasury - Cash Management
    Type
    Full-Time
  • Overview

    CIT is a leading national bank focused on empowering businesses and personal savers with the financial agility to navigate their goals. CIT Group Inc. (NYSE: CIT) is a financial holding company with over a century of experience and operates a principal bank subsidiary, CIT Bank, N.A. (Member FDIC, Equal Housing Lender). The company's commercial banking segment includes commercial financing, community association banking, middle market banking, equipment and vendor financing, factoring, railcar financing, treasury and payments services, and capital markets and asset management. CIT's consumer banking segment includes a national direct bank and regional branch network. Discover more at cit.com/about.

    Responsibilities

    • The position is within the Cash Management Support Group focused on Change Management and Control. The selected professional will be responsible for supporting Treasury Operations and Treasury IT with cross functional project management, metrics reporting and operational support.  Responsibilities will include:
    • Working with all Treasury Operations functional areas to develop metrics for measuring and reporting on performance, ensuring timely monthly reporting and working with executive support team to adjust reporting to meet requirements.
    • Support the control function through assistance in maintenance of the Business Continuity Plan, preparation of documentation for internal audit and documentation on risk events.
    • Creation of weekly reporting cadence on active projects. Weekly updates to be shared with senior management to provide clear view on project status.
    • Development and maintenance of project plans for cross functional projects.
    • Work closely with Treasury IT in development of project plans and scope documents.
    • Act as a go between with IT and Treasury Operations to communicate on project requirements, issues and status.
    • Preparation of Business Requirements Documentation. Work closely with the business to understand the requirements for projects and prepare documentation that can be shared with IT and used for development of technical specifications.
    • Coordination of project team review meetings and project steering committee meetings.
    • Tracking of project budgets
      Provide assistance to Treasury Operations teams in project planning for smaller, functional improvement projects.

    Qualifications

    • Bachelor’s Degree in Accounting or Finance
    • 3-5 years of experience as a Business Analyst supporting cash management operations.
    • Strong communication skills, both written and oral. Successful candidate is able to communicate key ideas and initiatives to various levels of management and audiences.
    • Strong analytical skills and initiative.
    • Previous experience managing projects across various functional areas, including Treasury, IT and Accounting.
    • Experience with the creation of project documentation, including business requirements, testing plans and project status reports
    • Proficient in Microsoft Project and PowerPoint. Strong in Microsoft Excel, Word, and Vision

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