Position performs professional level duties in support of the treasury, financing, rate & charge, budgeting, billing, receivables reporting, retirement programs and other complex functions. Position has the responsibility for providing management analysis to the Authority regarding financial matters including, feasibility studies, GARB and other debt financing, investment portfolio, and cash-flow management. Work includes ensuring the financial integrity of the Authority by recommending, implementing, and executing related financial and business management policies, and management of the Authority Cash and ST Investment Portfolio.
Education and Work Experience Required: Graduation from a four year college or university with a major in business, accounting, or related field and considerable experience in a combination of treasury and financial analysis functions, and some supervisory experience ; or an equivalent combination of education and experience.
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