Imagine how your ideas and expertise can change a patient’s life. Patients are at the heart of what we do at Edwards Lifesciences. Our Finance teams work hard to optimize our current and long-term success and enable our ongoing strategy of innovation, leadership, and focus. As part of the team, whether providing analysis, forecasting, or reporting financial information, your application of accurate financial business practices will play a fundamental role in how we impact the quality of life for patients all over the world. The Treasury Director will manage the FX risk management program and other capital market activities How you’ll make an impact: Manage, execute, and enhance FX programs to optimize hedging and improve efficiency of existing strategies to ensure alignment with corporate strategy and accounting standards; including planning, gathering exposures, validating data, executing trades, risk monitoring, and reporting Create scalable business processes to identify and improve currency exposures forecasts and actuals. Manage intercompany funding process and initiatives. Implement and continuously improve treasury systems to automate workflows, strengthen controls, and generate meaningful insights. Support the implementation of banking structures Collect, clean, validate, and analyze large and complex data sets from multiple sources; apply analytical techniques to identify trends, patterns, and opportunities Develop and maintain models and dashboards to derive insights, monitor risks, and results/KPIs Manage compliance deliverables from internal/external auditors to ensure adherence to external regulatory requirements (Dodd Frank, EMIR, MIFID, GAAP) Provide thought leadership on the share repurchase program model and strategy Regularly present program results and advancements to the Finance Risk Committee. Thoughtfully build in developmental opportunities for junior team members to grow and promote, with a focus on measuring performance. Build strong working relationships with internal and external partners across Finance, Accounting, Tax, Legal and Audit, banking partners, and vendors. Support other areas in Treasury as needed, including cash management, capital structure, liquidity, investments, capital markets, intercompany funding, share repurchase. Various special projects and ad hoc analyses as assigned
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Job Type
Full-time
Career Level
Director
Number of Employees
5,001-10,000 employees