The Corporate Treasury Operations team at Seagate supports the company’s global cash, liquidity, foreign exchange (FX), and capital markets activities. The team works closely with regional finance, accounting, tax, and banking partners to ensure efficient cash positioning, forecasting, investments, FX execution, and payment processing across Seagate’s global footprint. As part of a global treasury organization, the team plays a critical role in enabling day‑to-day operations while supporting strategic decision‑making through data, analysis, and process improvement.About the role - you will: Assist with analysis of cash flows, investments, FX exposures, and balances to support short-term and medium-term cash and liquidity forecasts Help maintain and enhance treasury reporting, including daily and monthly dashboards for cash, investments, FX, and key treasury metrics Perform data analysis to identify trends, variances, and opportunities to improve forecast accuracy and visibility across cash, FX, and funding activities Develop and improve data visualizations (charts, dashboards, summaries) to communicate insights clearly to treasury leadership and partners Support process automation initiatives, including building or enhancing Excel models, Power BI dashboards, and basic scripts or tools to streamline repetitive treasury tasks Partner with team members on ad hoc analysis, special projects, and documentation of treasury processes and controls About you:You are analytical, curious, and detail‑oriented, with an interest in how data drives financial and operational decisions. You enjoy working with numbers and systems, are comfortable learning new tools, and take pride in producing accurate, well‑structured analysis. You are proactive, collaborative, and able to balance independent work with teamwork in a fast‑paced environment.
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Career Level
Intern