Treasury Analyst: Liquidity, FX & Strategy

Albemarle

Charlotte (NC)

Hybrid

USD 65,000 - 90,000

Full time

14 days+

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Benefits offered by this job

Competitive compensation
Comprehensive benefits package
Diverse resources for professional and
personal growth

Job summary

Albemarle is hiring a Treasury Analyst in Charlotte, NC for a hybrid role within the Treasury department. The position supports liquidity management, FX risk, and treasury operations across our global operations, interacting with Controlling, Tax, Legal, Audit, and banking partners.

The candidate will contribute to reporting, forecasting, and process improvements. We seek 0-2+ years of related experience, a finance or accounting background, strong analytical skills, and excellent communication.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Business Administration, or related field.
  • 0-2+ years of directly related experience.
  • Demonstrated strong analytical capability, with the ability to think independently, synthesize complex information, and develop thoughtful, value-adding recommendations.
  • Proven ability to collaborate effectively as part of a team while operating at a high level in a fast-paced, dynamic environment.
  • Excellent interpersonal and communication skills, with the ability to convey complex financial concepts clearly in both written and verbal formats.
  • Genuine interest in Corporate Finance/Treasury supported by a solid foundation in finance or accounting.
  • Intermediate to advanced proficiency in Microsoft Office applications, with experience extracting, analyzing, and manipulating data from ERP systems.
  • Relevant experience in one or more of the following areas is preferred: Corporate Treasury, Accounting, or financial analysis within Business Operations.
  • Demonstrated ability to leverage automation, data analytics, and AI tools to improve efficiency, insight, and decision-making.

Responsibilities

  • Support the execution and monitoring of foreign exchange risk management strategies, including cash flow, balance sheet, and net investment hedging
  • Manage liquidity, cash forecasting, funding activities, investments, borrowing needs, and working capital optimization
  • Support treasury operations, including payments, bank account management, treasury reporting, and banking activities
  • Prepare Treasury inputs and reports to support month-end close and external reporting requirements, including covenant compliance and select disclosures supporting SEC filings
  • Administer the Company’s Commercial Paper program, including issuance, settlement, and reporting activities
  • Provide analytical support through ad-hoc financial modeling, scenario analysis, and special projects related to capital markets, risk management, and Treasury strategy
  • Drive process improvement initiatives within Treasury, leveraging automation, data analytics, and AI to improve efficiency, controls, and decision-making
  • Support the Treasury Manager, Capital Markets in preparing executive-level analyses, reporting, and presentations for management, the Board of Directors, and rating agencies
  • Build and maintain strong banking and cross-functional relationships to support business operations and critical treasury activities
  • Serve as a cross-trained resource and backup across other Treasury responsibilities (Capital Markets, Operations, and Insurance) as needed, supporting continuity and knowledge sharing

Skills

Financial analysis
Treasury operations
Cash forecasting
Foreign exchange risk management
Team collaboration
Communication skills

Education

Bachelor’s degree in Finance/Accounting/Related field

Tools

Kyriba
FXall
SAP
BPC

Job description

Albemarle is hiring a Treasury Analyst in Charlotte, NC for a hybrid role within the Treasury department. The position supports liquidity management, FX risk, and treasury operations across our global operations, interacting with Controlling, Tax, Legal, Audit, and banking partners.

The candidate will contribute to reporting, forecasting, and process improvements. We seek 0-2+ years of related experience, a finance or accounting background, strong analytical skills, and excellent communication.

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