As Senior Finance Analyst, Corporate Treasury, you support global treasury activities including FX risk management, intercompany funding, and hedging strategies. You partner with Finance, Accounting, Tax, and business teams to optimize liquidity and manage financial risk in a dynamic, multinational environment. You will work with treasury systems and banking relationships to enable strategic financing initiatives. This role offers exposure to financial markets and risk management within a leading automation company. You will help drive disciplined cash management and reporting to management.
Compensation / Benefits