Treasury Analyst, Global Operations

Kimberly-Clark

Irving (TX)

On-site

USD 129,816 - 135,009

Full time

14 days+
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Benefits offered by this job

401(k) and Profit Sharing

Job summary

Kimberly-Clark USA, LLC in Irving, Texas is seeking a Treasury Analyst in Global Operations to optimize short‑term debt, internal funding and investments using the Treasury Management System and SAP/HFM data.

You will gather and report global cash metrics, assist affiliates with bank accounts, and support repatriation efforts across countries while ensuring regulatory compliance and strong internal controls. A bachelor’s degree with 8 years of multinational experience is required.

Qualifications

  • Requires a bachelor’s or foreign equivalent degree in economics, management, or a related field and 8 years of experience with multinational companies or matrix organizations.
  • Must have 5 years of experience in international cash management, forecasting, or internal controls including regulatory complexities outside the U.S.
  • Must have 4 years of experience in accounting/finance/economics/taxation including cash flow/financial statement analysis and using Treasury Management Systems (Quantum).
  • Must have 2 years of experience opening and closing corporate bank accounts.
  • Must have 1 year of experience working with corporate risk management teams or insurance companies.

Responsibilities

  • Lead gathering, analysis and reporting of global metrics such as bank fees and cash balances on a monthly basis.
  • Assist affiliates in managing bank accounts and ensure e-BAM reflects current status.
  • Support leadership with analysis for special projects and presentations.
  • Coordinate cash repatriation in a tax‑efficient manner across countries considering regulatory limitations.
  • Provide backup to U.S. Daily Cash Management Operations and lead internal control reviews.

Skills

International cash management
Forecasting
Internal controls
Currency transactions
SAP
HFM
Treasury systems
Quantum
Bank accounts
Risk management

Education

Bachelor's degree in economics or related field

Tools

SAP
HFM
Quantum

Job description

Treasury Analyst, Global Operations

Treasury Analyst, Global Operations positions offered by Kimberly‑Clark USA, LLC (Irving, Texas). Ensure visibility of global cash balances leveraging the Treasury Management System and K‑C’s accounting system data to optimize short‑term debt (commercial paper), internal funding, and investment decisions. Lead the gathering, analysis and reporting of global metrics such as bank fees, bank account signatories and cash balances on a monthly basis. Assist affiliates in managing bank accounts and ensuring Treasury’s e‑BAM technology accurately reflects the current status, ensuring compliance with internal controls and external regulatory reporting requirements. Assist leadership in driving, recommending course of action, and evaluating analysis for special projects and preparing presentations to support communication. Assist the International Treasury team in driving and coordinating execution of cash repatriation in a tax‑efficient manner by understanding banking and tax capacity/regulatory limitations in each country as well as the impact of such regulations on repatriation. Provide backup to the U.S. Daily Cash Management Operations as needed. Lead annual internal control reviews. Assist with selected risk‑management activities. Contribute to an environment in which all team members are respected regardless of their individual differences and are motivated to improve both their individual and team contributions to achieve desired business results. Communicate fully with superiors, peers and others who have a need to know in a way that is timely, complete, accurate and clear.

Qualifications
  • Requires a bachelor’s or foreign equivalent degree in economics, management, or a related field and 8 years of experience working with multinational companies or matrix organizations.
  • Must have 5 years of experience in each of the following:
    • Performing international cash management, forecasting, or internal controls including working with the regulatory complexities associated with countries and regions outside the U.S.
    • Working with transactional and translational currency transactions
    • Using SAP or HFM
  • Must have 4 years of experience in each of the following:
    • Working in accounting, finance, economics, or taxation including performing cash flow analysis and financial statement analysis
    • Using Treasury Management Systems, including Quantum
  • Must have 2 years of experience opening and closing corporate bank accounts
  • Must have 1 year of experience working with corporate risk management teams, insurance companies or State Workers Compensation departments
  • Position reports to Irving, TX office. Telecommuting permitted in accordance with company policy, but must live within commuting distance of stated office.
  • Experience may be, but need not be, acquired concurrently.
Salary and Benefits

Salary Range: $129,816 to $135,009 USD per year.

At Kimberly‑Clark, pay is just one aspect of our total rewards package, which also includes a variety of benefits and opportunities to achieve, thrive and grow. Along with base pay, this position offers eligibility for a target bonus and a comprehensive benefits suite, including our 401(k) and Profit Sharing plan. The anticipated base pay range for this role is provided above for a fully qualified hire. Actual pay will depend on several factors, such as location, role, skills, performance, and experience. Please note that the stated pay range applies to US locations only.

Location and Employment Type

Primary Location: USA‑TX‑Dallas

Additional Locations: (none)

Worker Type: Employee

Worker Sub‑Type: Regular

Time Type: Full time

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