Senior Global Treasury Analyst - Data-Driven Cash & Risk
Jabil
Saint Petersburg (FL)
On-site
USD 82,530 - 100,870
Full time
14 days+
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Benefits offered by this job
Medical, Dental, Prescription Drug, and Vision Insurance
401K match
Employee Stock Purchase Plan
Paid Time Off
Job summary
A leading manufacturing company in Florida is seeking a Senior Treasury Analyst to manage global treasury operations. This role requires expertise in financial risk, credit analysis, and cash management. The ideal candidate will have a bachelor's degree in Finance or Accounting and a minimum of 5 years of experience in a corporate treasury setting. The company offers a comprehensive benefits package and a collaborative work environment.
Qualifications
Minimum 5 years of treasury, finance, or accounting experience, ideally in a global corporate environment.
Strong understanding of treasury-related U.S. GAAP and corporate finance processes.
Comfortable working in a dynamic, fast-paced, highly collaborative environment.
Responsibilities
Support daily cash, credit, and risk management activities.
Generate and prepare routine and ad hoc treasury analytical reports.
Lead initiatives to drive continuous improvement, including automation.
Skills
Analytical skills
Problem-solving
Cash management
Understanding of U.S. GAAP
Communication skills
Proficiency in SQL
Education
Bachelor’s degree in Finance, Accounting, Business
CFA, CPA, CTP and/or Master’s degree
Tools
SAP
SQL
Visualization dashboards
Job description
A leading manufacturing company in Florida is seeking a Senior Treasury Analyst to manage global treasury operations. This role requires expertise in financial risk, credit analysis, and cash management. The ideal candidate will have a bachelor's degree in Finance or Accounting and a minimum of 5 years of experience in a corporate treasury setting. The company offers a comprehensive benefits package and a collaborative work environment.