This job listing has expired and the position may no longer be open for hire.

Senior Analyst, Treasury & Risk Management at Haemonetics Corporation

Posted in Accounting 30+ days ago.

This job brought to you by eQuest

Type: Full-Time
Location: Braintree, Massachusetts

Job Description:


Monitors and controls various cash/foreign exchange flows and procedures, domestic and international banking accounts, interest expenses, and long and short term debt and investment management. Forecasts, analyzes, and reports on foreign exchange exposures, investment yields, cash position, source and use of funds, and economic trends. Recommends and selects favorable debt and investment forms. May perform hedge transactions. Responsible for all accounting and financial reporting related to this function.

Principal Responsibilities:

• Assist with insurance renewals

• Assist with the global banking project, ERP implementation and other key initiatives

• Coordinate global cash concentration

• Coordinate insurance site visits including scope, timing, etc.

• Coordinate the issuance, collection and maintenance of insurance certificates

• Coordinate, analyze and report global cash position

• Develop and maintain a treasury manual including various policies, procedures, contingency plans, SOX controls, etc.

• Develop, publish and maintain a risk management manual, including procedures for insurer site visits, claims management, safety protocols, etc.

• Identify, recommend and implement process enhancements

• Identify, recommend and implement process enhancements

• Lead or assist with non-WC claims, as needed

• Maintain and administer the Company’s global banking matrix

• Prepare debt schedules, as needed

• Prepare treasury related accounting entries and monthly/quarterly schedules

• Process domestic and international wires

• Under general supervision, analyze foreign exchange (FX) exposure and propose appropriate hedging/spot transactions

• Under general supervision, assist with legal contract review

• Undertake daily cash operations; Prepare daily liquidity analysis and propose investment amount

Candidate Education:

Required Bachelor's Degree Finance, accounting, business or economics

Candidate Experience:

Required 5 years Treasury and risk management experience

Required 3 years In a public multinational corporation

Candidate Skills:

Licenses and Certifications:

Preferred CTP designation

Required Proficiency in PC and internet skills; functional knowledge of Oracle

Preferred Knowledge of Oracle

Candidate Background: Skills, Knowledge & Ability: Minimum requirements:

Required Treasury and risk management experience

Required In a public multinational corporation