Treasury Operations Analyst

Air Products and Chemicals Inc

Allentown, Pennsylvania, US
Cash management
Foreign currency risk management
Interest rate risk management
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
  • collaboration across global participants
  • veteran-friendly organization

Key Requirements

  • Bachelor’s degree in finance or accounting
  • Minimum five years of proven experience
  • MBA and/or Certified Treasury Professional (CTP) preferred
  • Strong analytical and organizational skills
  • Strong accounting proficiency

Work Rights

Not specified

Tailored Resume

Cover Letter