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Overview

Company
Jobgether
Location
all cities, PR 52
Employment type
On-site
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JobgetherVerified Employer

Business Services & Consulting • all cities, PR 52

Global Treasury Analyst (52)

all cities, PR 52On-sitePosted 1 day ago
Business Services & Consulting

About the Role

Global Treasury Analyst

This role sits at the center of a global finance function, responsible for optimizing cash, liquidity, and currency exposure across multiple entities operating in a highly international environment.You will play a key role in ensuring efficient cash deployment, managing FX risk, and supporting strategic financial planning across a distributed organization.The position combines analytical depth with cross-functional influence, working closely with senior finance leadership, accounting, and external banking partners.

You will help shape treasury strategy in a business that operates across multiple currencies and markets, with a strong focus on capital efficiency and risk-aware yield optimization.This is a high-impact role where decisions directly influence financial stability and global operational effectiveness.The environment is fast-moving, globally distributed, and highly collaborative.

Accountabilities:

  • Manage and analyze global cash positions and liquidity across multiple currencies and legal entities, ensuring optimal allocation and visibility.
  • Forecast operating and capital expenditure liquidity needs, supporting scenario modeling and free cash flow optimization.
  • Monitor and manage foreign exchange exposure, recommending hedging and currency allocation strategies to reduce risk and volatility.
  • Oversee banking relationships, credit exposure, transaction execution, and compliance with treasury controls and policies.
  • Support treasury systems and process improvements, including implementation and enhancement of treasury management tools.
  • Collaborate with accounting, FP&A, legal, and auditors on intercompany transactions, reporting, and compliance requirements.
  • Prepare treasury reports and strategic recommendations for senior leadership, including the CFO and finance leadership team.
  • Ensure adherence to regulatory and control frameworks including SOX, FATCA, and related financial governance standards.

Requirements:

  • Proven experience in global treasury, corporate finance, or financial risk management within an international organization.
  • Strong academic background in finance, economics, business, or a quantitative discipline.
  • Professional certification such as CTP, CFA, or equivalent treasury/finance qualification preferred.
  • Solid understanding of cash management, FX risk, liquidity forecasting, and investment optimization principles.
  • Experience working with multi-currency environments and global banking structures.
  • Strong analytical and financial modeling skills, with the ability to interpret complex data and build scenario-based forecasts.
  • Excellent communication and presentation skills, with confidence engaging senior stakeholders.
  • High level of accuracy, accountability, and intellectual curiosity, with a proactive and independent working style.

Benefits:

  • Competitive global compensation with performance-based bonus eligibility.
  • Fully remote and distributed working model with global collaboration opportunities.
  • Annual learning and development budget to support professional growth.
  • Paid annual leave, parental leave, and employee assistance support programs.
  • Opportunities for international travel to team gatherings and strategic offsites.
  • Exposure to senior leadership and high-impact strategic finance initiatives.
  • Flexible work environment designed to support autonomy and balance.
Global Treasury Analyst

This role sits at the center of a global finance function, responsible for optimizing cash, liquidity, and currency exposure across multiple entities operating in a highly international environment.You will play a key role in ensuring efficient cash deployment, managing FX risk, and supporting strategic financial planning across a distributed organization.The position combines analytical depth with cross-functional influence, working closely with senior finance leadership, accounting, and external banking partners.

You will help shape treasury strategy in a business that operates across multiple currencies and markets, with a strong focus on capital efficiency and risk-aware yield optimization.This is a high-impact role where decisions directly influence financial stability and global operational effectiveness.The environment is fast-moving, globally distributed, and highly collaborative.

Accountabilities:

  • Manage and analyze global cash positions and liquidity across multiple currencies and legal entities, ensuring optimal allocation and visibility.
  • Forecast operating and capital expenditure liquidity needs, supporting scenario modeling and free cash flow optimization.
  • Monitor and manage foreign exchange exposure, recommending hedging and currency allocation strategies to reduce risk and volatility.
  • Oversee banking relationships, credit exposure, transaction execution, and compliance with treasury controls and policies.
  • Support treasury systems and process improvements, including implementation and enhancement of treasury management tools.
  • Collaborate with accounting, FP&A, legal, and auditors on intercompany transactions, reporting, and compliance requirements.
  • Prepare treasury reports and strategic recommendations for senior leadership, including the CFO and finance leadership team.
  • Ensure adherence to regulatory and control frameworks including SOX, FATCA, and related financial governance standards.

Requirements:

  • Proven experience in global treasury, corporate finance, or financial risk management within an international organization.
  • Strong academic background in finance, economics, business, or a quantitative discipline.
  • Professional certification such as CTP, CFA, or equivalent treasury/finance qualification preferred.
  • Solid understanding of cash management, FX risk, liquidity forecasting, and investment optimization principles.
  • Experience working with multi-currency environments and global banking structures.
  • Strong analytical and financial modeling skills, with the ability to interpret complex data and build scenario-based forecasts.
  • Excellent communication and presentation skills, with confidence engaging senior stakeholders.
  • High level of accuracy, accountability, and intellectual curiosity, with a proactive and independent working style.

Benefits:

  • Competitive global compensation with performance-based bonus eligibility.
  • Fully remote and distributed working model with global collaboration opportunities.
  • Annual learning and development budget to support professional growth.
  • Paid annual leave, parental leave, and employee assistance support programs.
  • Opportunities for international travel to team gatherings and strategic offsites.
  • Exposure to senior leadership and high-impact strategic finance initiatives.
  • Flexible work environment designed to support autonomy and balance.

What You'll Do

Manage and analyze global cash positions and liquidity across multiple currencies and legal entities, ensuring optimal allocation and visibility.
Forecast operating and capital expenditure liquidity needs, supporting scenario modeling and free cash flow optimization.
Monitor and manage foreign exchange exposure, recommending hedging and currency allocation strategies to reduce risk and volatility.
Oversee banking relationships, credit exposure, transaction execution, and compliance with treasury controls and policies.
Support treasury systems and process improvements, including implementation and enhancement of treasury management tools.
Collaborate with accounting, FP&A, legal, and auditors on intercompany transactions, reporting, and compliance requirements.

Skills & Technologies

Business Services & Consulting

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