Insurance Risk Sr Analyst

PayPal

Austin (TX)

On-site

USD 90,000 - 130,000

Full time

7 days ago
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Job summary

PayPal in Austin, TX, is seeking a Treasury professional with 3+ years of experience to perform daily cash management, forecasting, and FX exposure management. You will run projects independently while collaborating with peers across Treasury and business units.

You will support policy development, assist in data analysis for senior management reporting, and help design dashboard-based analytics to drive efficiency and controls across treasury operations.

Qualifications

  • 3+ years of Treasury experience or equivalent.
  • Bachelor's degree or equivalent.
  • Ability to work independently and collaborate across teams.

Responsibilities

  • Perform daily cash management and forecasting to ensure liquidity.
  • Monitor cash positions and optimize investment opportunities.
  • Review global bank balances to support liquidity requirements.
  • Support system enhancements and treasury policies and controls.
  • Prepare data reports for monthly and quarterly management reporting.
  • Engage in Transformation initiatives and drive process improvements.

Skills

Cash management
Forecasting
Data analysis
Project management
FX exposure management
Derivative hedging
Stakeholder collaboration
Policy development
Process improvement
Dashboard analytics

Education

Bachelor's degree

Tools

Dashboard tools

Job description

This job utilizes your Treasury experience to perform and improve Treasury activities, which may include performing daily cash management, forecasting, driving operational efficiencies, assisting system enhancement projects and FX exposure management / trading. You will be expected to run projects independently while actively collaborating with peers within Treasury and other business units. Additionally, you will support treasury policy development and compliance, handle special projects, and engage in data analysis for senior management reporting.Essential Responsibilities:Perform daily cash management and forecasting activities to ensure operational liquidityMonitor and manage cash positions to optimize investment opportunitiesReview global bank account balances to support global Treasury and PayPal Business Units liquidity requirementsSupport updates/enhancements to systems and processesDevelop and support Treasury policies, procedures, and controlsMonitor FX exposures; manage and execute daily FX trades including derivatives hedging with bank counterpartiesPrepare data reports in support of monthly and quarterly controlsAssist with execution of Transformation initiativesIdentify and recommend process improvements for area of responsibilityDesign and implement dashboard-based analytics platform and toolsMinimum Qualifications:3+ years relevant experience and a Bachelor’s degree OR Any equivalent combination of education and experience.
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