Analyst, Treasury
Louisville
Workplace: HybridFull timeUSD 89,300 - 100,000 annuallyFunction: Finance & AccountingEducation: bachelorsSkills: ["Analytical skills","Financial modeling","Communication","Collaboration","Process improvement"]Support global treasury operations with a focus on international cash management, forecasting, foreign exchange (FX), and intercompany financing. Oversee FX back-office activities such as trade settlement, confirmation, and reconciliation, and manage FX processes and vendor relationships to mitigate currency risk. Produce FX insights and reporting, including monthly FX rates and Bloomberg-sourced data, and perform quarterly mark-to-market valuations for hedging instruments. Own the intercompany loan portfolio and help execute cash repatriation strategies while ensuring SOX and internal policy compliance.
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