FX Risk & Treasury Analyst - Hybrid (Denver/Atlanta)

Western Union

Denver (CO)

Hybrid

USD 89,000 - 95,000

Full time

7 days ago
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Benefits offered by this job

Health insurance
401K Plan
Parental Leave
Adoption Assistance
Paid Time Off
Life Insurance

Job summary

Western Union is seeking a Senior Treasury Analyst (FX) based in the United States with hybrid work options. The role supports global FX risk management, currency hedging, liquidity planning, and regulatory compliance across multiple teams including Treasury, Accounting, Legal, Technology, and business units.

You will oversee hedging programs, funding forecasts, and reporting while leveraging automation tools to improve processes and reduce manual work.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business, or a related field.
  • 3+ years of experience in Treasury, FX, Capital Markets, Corporate Finance, Banking, or related field.
  • 3+ years of experience with FX markets, currency exposure management, or FX hedging programs.
  • Advanced proficiency in Microsoft Excel for financial analysis, reporting and data management.

Responsibilities

  • Implement and manage currency hedging programs for new product offerings.
  • Manage foreign exchange bank relationships and sourcing of currencies.
  • Forecast currency needs and ensure funding for consumer transactions.
  • Benchmark wholesale FX rates used to price money transfers.
  • Collaborate with regional business teams, accounting, and technology groups.
  • Support stakeholders with education on FX markets and hedging programs.
  • Ensure SOX controls and treasury governance compliance.

Skills

Stakeholder collaboration
Financial analysis
Regulatory knowledge
Excel proficiency

Education

Bachelor's degree in Finance, Accounting, Economics, Business, or a related field

Tools

Power Automate
Alteryx
Power BI
SQL
Treasury Workstations

Job description

Western Union is seeking a Senior Treasury Analyst (FX) based in the United States with hybrid work options. The role supports global FX risk management, currency hedging, liquidity planning, and regulatory compliance across multiple teams including Treasury, Accounting, Legal, Technology, and business units.

You will oversee hedging programs, funding forecasts, and reporting while leveraging automation tools to improve processes and reduce manual work.

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