Treasury Analyst - Hybrid

StrykerPortage, MI
2dHybrid

About The Position

Make an impact where it matters. In this role, you’ll be at the center of Stryker’s cash operations, ensuring accuracy and efficiency in managing daily cash activities that keep our business moving. Your work will directly support global financial stability and enable strategic decision-making—making this an exciting opportunity for someone who thrives in a fast-paced, results-driven environment. What You Will Do Execute daily U.S. cash operations, including reviewing cash positions, processing wire transfers, and investing excess cash with 100% accuracy and compliance. Serve as backup for Senior Treasury Analyst in consolidating foreign exchange exposures and supporting execution of the Net Foreign Exchange Hedging Program. Assist accounting teams with month-end cash statement reviews and provide detailed transaction reporting to ensure timely close. Support Costa Rica Finance Center Accounts Payable team by resolving payment issues and conducting research to maintain smooth operations. Coordinate the annual Global Bank Survey, confirming account details and peak balances across all regions to ensure data integrity. Deliver consolidated domestic and international cash balance reports to enhance forecasting accuracy for investment positioning. Manage receipt, documentation, and deposit preparation for miscellaneous checks in compliance with internal controls and bank processing standards. Provide ad-hoc analytical support for treasury initiatives to improve cash flow visibility and operational efficiency.

Requirements

  • Bachelor’s degree in Accounting, Finance, or related discipline.
  • Minimum 2 years of experience in treasury, accounts payable, or finance operations.
  • Proficiency in Microsoft Office with advanced Excel skills (including v-lookup and pivot tables).

Nice To Haves

  • Experience with foreign exchange exposure management or cash forecasting.
  • Familiarity with global banking processes and payment systems.

Responsibilities

  • Execute daily U.S. cash operations, including reviewing cash positions, processing wire transfers, and investing excess cash with 100% accuracy and compliance.
  • Serve as backup for Senior Treasury Analyst in consolidating foreign exchange exposures and supporting execution of the Net Foreign Exchange Hedging Program.
  • Assist accounting teams with month-end cash statement reviews and provide detailed transaction reporting to ensure timely close.
  • Support Costa Rica Finance Center Accounts Payable team by resolving payment issues and conducting research to maintain smooth operations.
  • Coordinate the annual Global Bank Survey, confirming account details and peak balances across all regions to ensure data integrity.
  • Deliver consolidated domestic and international cash balance reports to enhance forecasting accuracy for investment positioning.
  • Manage receipt, documentation, and deposit preparation for miscellaneous checks in compliance with internal controls and bank processing standards.
  • Provide ad-hoc analytical support for treasury initiatives to improve cash flow visibility and operational efficiency.

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What This Job Offers

Job Type

Full-time

Career Level

Entry Level

Number of Employees

5,001-10,000 employees

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