This position supports Global Treasury Operations by developing and applying a broad understanding of cash management, foreign currency and interest rate risk management, debt capital markets, and trade finance
Job Summary
This position supports Global Treasury Operations by developing and applying a broad understanding of cash management, foreign currency and interest rate risk management, debt capital markets, and trade finance.
The role provides analytical review and hands-on execution of financial risk management activities, ensures compliance with regulatory and internal control requirements, and supports oversight of treasury systems.
At Air Products we develop a culture of inclusion where every voice is heard, and everyone feels they belong and matter.
Matching Summary
This position supports Global Treasury Operations by developing and applying a broad understanding of cash management, foreign currency and interest rate risk management, debt capital markets, and trade finance.
Skills & Requirements
Must-have
cash management
foreign currency risk management
interest rate risk management
debt capital markets
trade finance
SAP S/4HANA implementation
Nice-to-have
process improvement
technology enablement
enterprise-wide capability
Key Requirements
Bachelor’s degree in finance or accounting
Minimum five years of proven experience
MBA and/or Certified Treasury Professional (CTP) preferred