Sr. Treasury Analyst (EMEA) at SpaceX
Dublin, Leinster, Ireland -
Full Time


Start Date

Immediate

Expiry Date

11 Mar, 26

Salary

0.0

Posted On

12 Dec, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Corporate Treasury, Foreign Exchange Trading, Cash Management, Risk Analysis, Financial Modelling, Analytical Skills, Communication Skills, Interpersonal Skills, Excel, Payments, KYC Requirements, Banking Systems, Process Improvement, Treasury Management Systems, FX Trading Platforms, Fixed Income Investments

Industry

Aviation and Aerospace Component Manufacturing

Description
SpaceX was founded under the belief that a future where humanity is out exploring the stars is fundamentally more exciting than one where we are not. Today SpaceX is actively developing the technologies to make this possible, with the ultimate goal of enabling human life on Mars. SR. TREASURY ANALYST (EMEA) SpaceX is looking for a Sr. Treasury Analyst to join our team to ensure that our treasury capabilities meet the increasing needs of our rapidly growing global Starlink business. This position will support various aspects of treasury operations, including new-country expansions, cash management, FX strategy and execution, fixed-income investments, payments, and systems. RESPONSIBILITIES: Take responsibility for building out the treasury infrastructure to support Starlink's global expansion Research and resolve inquiries regarding global cash activities and manage related KYC requirements Manage execution of foreign exchange trades required to fund SpaceX's global business Perform risk analyses related to foreign exchange and other risks Work with banking partners and FX liquidity providers to implement new systems and methodologies for executing trades in restricted currencies Develop, enhance, and standardize processes related to FX trading/reporting and fixed income investment trading/reporting Implement best practices/controls across all treasury functions Navigate and find solutions for SpaceX's FX, tax and banking challenges Perform reconciliations and build forecasting mechanisms as needed Work closely with the global treasury team in the US, Singapore, and Ireland to design and build risk monitoring frameworks, systems, and reporting dashboards that present risks and mitigation plans or alternatives BASIC QUALIFICATIONS: Bachelor's degree in finance, accounting, economics, business or other business discipline 4+ years of corporate treasury or experience in a multinational corporate treasury function or global bank PREFERRED SKILLS AND EXPERIENCE: Excellent communication (written and verbal), analytical and interpersonal skills Advanced Excel (pivot tables, advanced formulas, VBA automation, etc.) and financial modelling skills Knowledge of institutional banking and payment systems Experience with payments and cash transfers and related procedures, controls and systems Experience with foreign exchange trading operations and derivatives Ability to work independently and navigate ambiguity to drive implementation of small and large-scale process improvements An MBA or Master's in finance, economics or a related field Working knowledge of Bloomberg Experience with corporate treasury FX trading platforms such as FXAll, 360T, and Bloomberg FXGO Familiarity with treasury management systems (e.g. Kyriba, SAP, FIS) ADDITIONAL REQUIREMENTS: This position is based in Dublin and requires being onsite - remote work is not considered Must be available to work extended hours and weekends as needed SpaceX is an Equal Opportunity Employer; employment with SpaceX is governed on the basis of merit, competence and qualifications and will not be influenced in any manner by race, color, religion, gender, national origin/ethnicity, veteran status, disability status, age, sexual orientation, gender identity, marital status, mental or physical disability or any other legally protected status.
Responsibilities
The Sr. Treasury Analyst will build out the treasury infrastructure to support Starlink's global expansion and manage execution of foreign exchange trades. They will also develop processes related to FX trading and fixed income investment trading, while implementing best practices across all treasury functions.
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