Global & Innovative Tech company located in Greater Boston is looking for a Senior Treasury Analyst to join their evolving team in a fast-paced environment. The company is growing at an impressive rate, increasing revenues by 20% year over year and continuing to expand into new international markets. This is a great opportunity to join an exciting company with a fun & progressive culture (collaborative culture, game room, free lunch, beer/snacks, WFH capability, etc.).
As the Treasury Analyst, you will work alongside the Director of Treasury and a team of 5 to support the global hedging strategies, liquidity management, debt management, Investment/instrument planning, FX transfers, and cash operations. This will be a great opportunity to learn and grow quickly through the ranks as this is a highly visible role that will work closely with the Director of Treasury, Treasurer, and CFO.
Support global liquidity planning and decision making by supporting finance teams in the creation of cash flow forecasting models.
Assist Director in the execution of FX hedges for the balance sheet and cash flow hedging programs