Hybrid Treasury Analyst — FX, Cash & Strategy

Albemarle Netherlands BV

Charlotte (NC)

Hybrid

USD 62,000 - 90,000

Full time

14 days+
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Benefits offered by this job

Hybrid work model
Comprehensive benefits package

Job summary

Albemarle is hiring a Treasury Analyst in Charlotte, NC. The position is hybrid and offers exposure to liquidity management, FX risk, forecasting, and reporting within a dynamic, global treasury team.

You will interact with Controlling, Tax, Legal, Audit, and banking partners, contributing to capital markets initiatives and process improvements while growing in a fast-paced environment.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business Administration, or related field.
  • 0-2+ years of directly related experience.
  • Strong analytical, communication, and teamwork skills.
  • Genuine interest in Corporate Finance/Treasury.

Responsibilities

  • Support liquidity management, cash forecasting, and working capital optimization.
  • Assist treasury operations including payments and banking activities.
  • Prepare Treasury inputs and reports for month-end close and SEC disclosures.
  • Administer the Company's Commercial Paper program, including issuance, settlement, and reporting.
  • Provide analytical support through ad-hoc financial modeling and risk management.
  • Drive process improvements using automation, data analytics, and AI in Treasury.
  • Support Treasury leadership with executive analyses and cross-functional collaboration.
  • Build and maintain banking relationships to support treasury activities.

Skills

Analytical thinking
Team collaboration
Communication skills
Leadership potential
Attention to detail
Curiosity
Judgement
Interest in corporate finance

Education

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

Tools

Kyriba
FXall
SAP
BPC

Job description

Albemarle is hiring a Treasury Analyst in Charlotte, NC. The position is hybrid and offers exposure to liquidity management, FX risk, forecasting, and reporting within a dynamic, global treasury team.

You will interact with Controlling, Tax, Legal, Audit, and banking partners, contributing to capital markets initiatives and process improvements while growing in a fast-paced environment.

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