Synchronoss, the leader of cloud, messaging and digital transformation to Telecommunications Media Technology companies. We transform the way companies create new revenue, reduce costs and delight their subscribers with cloud, messaging and digital transformation products. Synchronoss today supports hundreds of millions of subscribers across the globe. Synchronoss secure, scalable and groundbreaking new technologies, trusted partnerships and incredible talent change the way TMT customers drive and grow their business.
We are looking for a Treasury Analyst whom will be part of the Treasury and Corporate Development team. Working to maintain weekly and quarterly consolidated cash flow models and to report and monitor working capital position of the business. In addition, the individual will assist with M&A and other corporate development activities as necessary, which include help managing the M&A and other related activity processes, such as dataroom management, due diligence, financial modeling and other analytical assignments.
This position requires a strong background in financial modeling or financial analysis and is a great fit for candidates majored in accounting, finance or business, and with 1 2 years of experience in areas such as consulting, investment banking, accounting / transaction advisory services (e.g. Big 4 or other accounting firms). The individual will work cross-functionally with both internal departments (e.g. accounting, FP&A, HR, legal, tax, etc.) and external advisors (i.e. financial and legal advisors).
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Original source: Indeed