Company Overview
Bridgestone Americas, Inc. (BSAM), headquartered in Nashville, Tennessee, and Bridgestone Europe, Middle East and Africa (BSEMEA), headquartered in Brussels, Belgium, operate collectively as a “Bridgestone West” strategic region. This region services the strategic business needs of teams across the Americas, Europe, Middle East and Africa. BSAM and BSEMEA are subsidiaries of Bridgestone Corporation, globally headquartered in Japan. Bridgestone and its subsidiaries develop, manufacture and market a wide range of Bridgestone, Firestone and associate brand products and solutions to address the needs of a broad range of customers and industries.
Position Summary
We’re currently looking for a Senior Treasury Analyst to join our team in Nashville, TN.
This role will be responsible for centralized bank administration, identifying process improvements and efficiencies, and will support strategic Treasury initiatives. The Senior Treasury Analyst will play a key role in the Cash Management team for Bridgestone Americas and its subsidiaries in North America, Europe, and Asia.
*** This role is HYBRID. In the office 3 days a week (Tuesday to Thursday) at HQ in Nashville, TN ***
Responsibilities
Create, maintain, and lead process improvements for short-term 90-day cash forecast in US and Canada, including analytical review of historical data.
Owner of centralized bank administration, including account opening, modifications, closing, signers, user accesses, cash maps maintenance, Reval static data, Bank KYC requirements, M&A Day 1 letters and other preparation.
Lead settlement processes for FX and Commodity spot/hedging transactions.
Play a key role updating treasury’s monthly executive dashboards.
Proactively identify operational data to support improvement and standardization of day-to-day cash operations.
Support monthly intercompany settlement process, month end activities, and other strategic Treasury initiatives.
Minimum Qualifications
Bachelor’s degree, preferably with an emphasis in Business Administration, Finance, Accounting, or Economics.
Minimum 2 years of work experience in Treasury Operations/Cash Management.
Experience with Treasury Management System (such as Reval) is highly preferred.
Ability to work under ambiguity and proactively prioritize tasks/projects with a high sense of urgency.
Continuous improvement mindset – ability to document, analyze, make recommendations, and improve existing processes.
Excellent attention to detail and strong organizational skills.
Bridgestone is proud to be an Equal Employment Opportunity / Affirmative Action employer. It is our policy to consider for employment all individuals regardless of age, color, national origin, citizenship status, physical or mental disability, race, religion, gender, sex, sexual orientation, gender identity and/or expression, genetic information, veteran status, or any other characteristic protected by federal, state or local law.
Employment Eligibility
If hired, a Form I-9 Employment Eligibility Verification must be completed at the start of employment. Temporary work authorization or the need for sponsorship may disqualify you from employment.