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The Kraft Heinz Company

Senior Analyst, Treasury

The Kraft Heinz Company, Chicago, Illinois, United States, 60290


Here at Kraft Heinz, we grow our people to grow our business, because we believe that great people make great companies. When you join our table, you can expect access to an array of holistic wellness benefits* and perks, including medical, dental and vision coverage, 7% 401(k) matching, Business Resource Groups (BRGs) to help foster diversity, inclusion, and belonging for all employees, an industry-leading total rewards package that emphasizes a high discretionary bonus. *Benefits begin 30 days after hire for hourly employees, and immediately upon hire for salaried employees. Get a peek into life here at Kraft Heinz through our

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and TikTok channels!Senior Analyst, Treasury at a Glance....Kraft Heinz Global Treasury is a high performing team with global oversight to company liquidity, capital and liabilities management, and proactive risk mitigations. We are hiring a top talent individual to join our team to assist in the management of the global foreign currency risk of the company. Reporting to Senior Manager, Finance - FX, the Treasury Senior Analyst will proactively take measures to assess, recommend and implement initiatives to manage our foreign currency risk.In this role, the individual will develop a true global view of our business, take on trade execution, interact with cross functional teams and senior management, as well as lead significant global projects.What's on the menu?Help lead the global FX risk management function, including balance sheet, cash flow and net investment hedging programsPartner with global treasury teams to obtain and validate foreign currency exposuresPrepare and execute trade requests for hedging balance sheet, cash flow, intercompany loans, and transactional FX exposuresEnsure adequate trade record keeping for management reporting and financial accountingPartner with Global Controllers group to ensure accurate financial reportingSubject matter expert for derivatives (foreign currency transactions including but not limited to, FX spot, forward, swap, options, and cross currency swaps)Leverage global banking partners and other functions (e.g., legal, tax, and accounting) to resolve issues and recommend innovative solutionsAssist with Treasury meetings, CFO presentations, and annual operating plan developmentWork with treasury cash management to ensure proper settlementEnsure SOX compliance for relevant Treasury controls (trade approvals, etc)Recipe for Success - apply now if this sounds like you!Technical requirementsBachelor's degree or higher in economics, finance, accounting, or other business-related field preferred3-5 years of work experience in a Treasury or foreign exchange risk management roleStrong knowledge of hedge accounting requirements and applicationDesire to understand and predict impacts of global monetary policy and foreign exchange rates on our businessProject management skillsLeadership attributes requirementsWork well independently with a high level of responsibilityProven ability to build strong, collaborative working relationships with colleagues and internal customersUnderstands the "why" of benefit design not just the "what"Excellent verbal and written communication skillsLocation(s)

Chicago/Aon CenterKraft Heinz is an Equal Opportunity Employer that prohibits discrimination or harassment of any type. All qualified applicants are considered for employment without regard to race, color, national origin, age, sex, sexual orientation, gender, gender identity or expression, disability status, protected veteran status, or any other characteristic protected by law. Applicants who require an accommodation to participate in the job application or hiring process should contact

NATAI@kraftheinz.com .

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