Global Treasury Analyst: FX & Analytics

FLIR Systems, Inc.

Thousand Oaks (CA)

On-site

USD 97,000 - 129,000

Full time

2 days ago
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Benefits offered by this job

Health insurance
401(k) with company match
Employee Stock Purchase Plan
Educational Tuition Reimbursement
Paid vacation and holidays

Job summary

Teledyne Technologies Incorporated is seeking a Treasury Analyst to manage FX risk across global revenues, expenses, and balance sheet positions. The role includes analytics and support for corporate treasury activities and partnering with finance, business units, and external partners.

The position offers high visibility, opportunities to learn how capital markets interact with operations, and requires collaboration with senior leadership.

Qualifications

  • Proven ability to work across functions with business partners to move projects from ideation to completion.
  • Builder's mindset with willingness to challenge assumptions and norms.
  • Passion for technology and ability to use it to streamline processes.
  • Ability to think creatively and thrive in a dynamic, ambiguous environment.
  • Excellent communication and analytical skills with high attention to detail.
  • Ability to prioritize work and manage projects alongside day-to-day tasks.
  • Experience delivering presentations and engaging with senior leadership.

Responsibilities

  • Manage FX risk in Teledyne’s global revenues, expenses, and balance sheet positions.
  • Provide analytics and support for treasury activities (financings, decision analyses, materials for exec review).
  • Collaborate with finance, business units, and external partners.

Skills

Cross-functional collaboration
Builder's mindset
Technology affinity
Creative thinking
Communication & analytics
Project prioritization
Executive presentation

Education

Bachelor’s degree or equivalent

Job description

Teledyne Technologies Incorporated is seeking a Treasury Analyst to manage FX risk across global revenues, expenses, and balance sheet positions. The role includes analytics and support for corporate treasury activities and partnering with finance, business units, and external partners.

The position offers high visibility, opportunities to learn how capital markets interact with operations, and requires collaboration with senior leadership.

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