Summary
Overview
Work History
Education
Skills
Timeline
Generic

Precious Hall

Abington,PA

Summary

Treasury and finance professional supporting cash positioning, liquidity reporting, banking administration, and payment controls across complex corporate operations. Known for accurate processing, intercompany reconciliation, and cross-functional support that improves cash visibility, account management, and day-to-day treasury execution.

Overview

23
23
years of professional experience

Work History

Senior Treasury Analyst

Novacore (formerly NSM Insurance)
Conshohocken, PA
10.2022 - 08.2026
  • Oversaw U.S. cash pool structure, enhancing cash visibility and utilization.
  • Supported daily cash positioning and liquidity reporting to aid corporate cash flow decisions.
  • Monitored high-value wire payments and corporate loan obligations for accurate processing.
  • Coordinated intercompany reconciliation and cash transfers across entities to ensure accurate cash flow management.
  • Managed banking relationships, facilitating account setup, closures, signatory changes, and compliance tasks.
  • Administered user access across banking platforms to strengthen internal controls.

Treasury Analyst / Specialist (US & Canada)

Essity North America Inc.
Philadelphia, PA
12.2006 - 10.2022
  • Managed treasury operations for U.S.. and Canada, including cash positioning and liquidity forecasting
  • Directed foreign currency hedging activities to mitigate financial risk
  • Led intercompany netting processes and cross-border cash pooling structures
  • Collaborated with global finance teams to enhance forecasting accuracy and develop cash management strategies
  • Administered banking platforms and lockbox systems (First Data Remitco)
  • Executed payments in SAP while overseeing large-scale wire transactions
  • Supported audits and ensured compliance with corporate treasury policies

Staff Accountant

S&B Industrial Minerals North America Inc.
Berwyn, PA
07.2003 - 12.2006
  • Prepared monthly financial statements, journal entries, accruals to ensure accurate financial reporting
  • Managed AR collections and processed vendor AP to maintain cash flow and supplier relationships
  • Produced consolidation reports and supported financial close processes
  • Completed sales tax and GST filings to ensure compliance with regulatory requirements

Education

MBA - Business Administration

University of Phoenix
Wayne, PA

BBA - Accounting

Grand Valley State University
Allendale, MI

Skills

  • Cash Positioning & Forecasting
  • Liquidity Management
  • Treasury Operations
  • Foreign Currency Hedging
  • Cash Pooling Structures
  • Netting and reconciliation
  • Wire & Payment Execution
  • Banking Relationships
  • Financial Analysis
  • Operational Efficiency
  • SAP
  • Microsoft Excel
  • Online Banking Platforms
  • Microsoft Office
  • Workday

Timeline

Senior Treasury Analyst

Novacore (formerly NSM Insurance)
10.2022 - 08.2026

Treasury Analyst / Specialist (US & Canada)

Essity North America Inc.
12.2006 - 10.2022

Staff Accountant

S&B Industrial Minerals North America Inc.
07.2003 - 12.2006

MBA - Business Administration

University of Phoenix

BBA - Accounting

Grand Valley State University
Precious Hall