Sr Treasury Analyst

MiniMedMounds View, MN
$85,600 - $128,400

About The Position

At MiniMed, you can begin a lifelong career of exploration and innovation, while helping make a difference in the lives of people living with diabetes around the globe. You'll lead with purpose, breaking down barriers to innovation for a connected, compassionate world. The MiniMed Corporate Treasury team is seeking a Senior Treasury Analyst to play a key role in supporting our global business. In this dynamic position, you’ll drive cash management, liquidity planning, foreign exchange risk management, and investment activities, while building strong banking relationships worldwide. You’ll contribute to financial planning, cash flow forecasting, and risk management, bringing critical thinking and insight to help teams achieve their goals. This role offers high visibility, with direct collaboration across Finance, Tax, FP&A, HR, and other corporate functions, as well as regular interaction with external banking partners. We’re looking for a highly skilled analyst with strong financial acumen, attention to detail, and a proactive, innovative mindset to help strengthen and elevate our Treasury operations.

Requirements

  • Bachelor’s Degree with 4 years relevant experience OR advanced degree with a minimum of 2 years relevant experience

Nice To Haves

  • Bachelor's degree in Finance, Accounting, Economics or related field of study is preferred.
  • Certified Treasury Professional (CTP) or CFA candidate is preferred.
  • Excellent communication and interpersonal skills
  • Proficient in Microsoft Excel, Word, PowerPoint
  • Strong analytical and critical thinking skills
  • Ability to develop solutions and/or innovative ideas to problems and ensure that solutions are consistent with the organization’s objectives.
  • Ability to interface in a global team environment with various levels of management, staff, and other functional areas
  • Strong organizational and people skills with interests in building strong business partnering relationships.

Responsibilities

  • Monitor daily cash positions across multiple currencies and legal entities to ensure adequate operational liquidity for our global business.
  • Execute wire transfers, intercompany funding, and other cash transfer activities.
  • Develop and analyze short-term and long-term cash flow forecasts to identify funding requirements for international operations.
  • Invest excess cash in compliance with the corporate investment policy.
  • Identify, track, and analyze FX exposure, and assist in designing FX hedging strategies to mitigate currency risk.
  • Manage bank account structures to optimize liquidity.
  • Maintain relationships with banking partners, FX trading counterparties and other financial institutions.
  • Perform financial analysis in support of global treasury initiatives.
  • Support budgeting, forecasting, and strategic planning processes.
  • Partner with cross-functional teams to drive business performance.

Benefits

  • competitive salary
  • flexible benefits package
  • health, dental, and vision insurance
  • Health Savings Account
  • Healthcare Flexible Spending Account
  • life insurance
  • long-term disability leave
  • dependent daycare spending account
  • incentive plans
  • 401(k) plan with company match
  • short-term disability coverage
  • paid time off and holidays
  • Employee Stock Purchase Plan
  • Employee Assistance Program
  • Non-qualified Retirement Plan Supplement
  • Capital Accumulation Plan
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