We are proud to partner with one of Denver’s leading oil and gas companies located in Downtown Denver.
They are currently seeking a Treasury Analyst to join their growing team.
If you have recent experience in Payroll, Treasury or Accounting, as well as managing corporate bank accounts and daily cash flow, this may be the opportunity for youThis will be a hybrid role with 2 days in office, 3 days at homeWhat you will bring:State and Federal payroll tax law and wage regulation knowledge requiredBachelor’s degree is preferredOne year of relevant Payroll, Treasury, or Accounting experience preferredAbility to work autonomously in a fast-paced, high-volume environment with strict timelinesExcellent customer service skills and ability to communicate to internal employeesStrong verbal and written communication skillsWhat you will receive:A competitive market salary of $75k-$90k annually opportunity for bonusMedical, dental & vision coverageFlexible Spending & Health Savings accounts401(k) Retirement Savings Plan with employer matchEmployee Stock Purchase Plan (ESPP)Basic Life & AD&D insuranceSupplemental Life & AD&D insuranceEmployee Assistance Plan (EAP)Short & Long-Term Disability coverageAdoption assistance programEducational assistance programPTO Plan based on relevant experienceLOA benefits including parental leave The Day to Day: Responsible for timely and accurate semi-monthly payroll processing; review time and attendance data, ensure proper documentation for payroll approval and audit complianceIdentify and resolve all matters regarding payroll processing including wage and overtime calculations, W2 and tax inquiries, manual checks, taxable fringe benefits, wage garnishments, etc.Process all stock compensation earnings on a timely basisServe as lead on PTO timekeeping system, including tracking and maintenanceAdminister employee stock plans; maintain and update stock plan information, process activities related to the company stock plans, reconcile monthly and quarterly reportingReconcile tax reporting on a quarterly basisMaintain corporate bank accounts and corporate derivative transaction database, including monthly settlement statementsUpdate daily cash flow and produce timely and accurate reports for audits, accounting, and general business needs on a weekly, monthly, and quarterly basisDocument and process financial transactions including wires and ACHCreate and/or maintain detailed documentation of payroll processes and proceduresAnalyze and capture transactional data from a variety of sourcesAssist in performing counterparty credit analysis and maintaining filesCoordinate annual insurance renewal process and information requestsAssist in reporting, monitoring, analyzing, and resolving insurance claimsOther duties as assigned If you are looking for the opportunity to join a dynamic and successful company, please apply directly Why work with AimHire?We strive to help individuals find their passion and grow their professional experience We are a partner in your job searchNo fee to youWe work with a variety of clients and consider you for all roles that may match your background and requirements – apply to one position, be considered for many