Treasury Analyst
- תל אביב
- משרה קבועה
- משרה מלאה
- Manage global cash and liquidity, monitoring 100+ bank accounts daily across subsidiaries
- Create and maintain cash flow forecasts
- Lead investment execution, interest income analysis, risk and strategy for a $3B portfolio
- Identify FX exposures, conduct FX trading, manage global hedging, and perform hedge effectiveness testing
- Support and analyze the company's share repurchase program
- Manage global insurance programs and renewals, including broker negotiations
- Lead implementation of new treasury systems and tools
- Maintain up-to-date global bank account records and authorized signer details per regulatory standards
- Support intercompany transactions and wire transfers
- Create reports for internal tracking and external audit purposes
- Lead projects and ensure timely delivery of outcomes
- Ensure compliance with internal policies, controls, and SOX (Sarbanes-Oxley) requirements
- Bachelor's degree in Economics, Finance, or Business Administration (MBA - advantage)
- Minimum 3 years of experience in Treasury or financial analysis (preferably in a multinational company or bank)
- Native English speaker
- Strong analytical, organizational, and execution skills
- Excellent communication skills - both verbal and written
- Meticulous attention to detail and high integrity
- Advanced skills in Microsoft Excel & PowerPoint, including data visualization
- Proactive self-starter, able to work both independently and in a team
- Willingness to work on Fridays
- Experience in cash management and FX trading
- Background in tech or multinational companies
- Exposure to capital markets, portfolio management, and corporate treasury
- Understanding of financial reporting standards and legal regulations
- Experience with SAP or similar ERP platforms
Mploy