Treasury Manager - International & FX - 30761BR - EN in Kalamazoo, MI at Stryker Corporation

Date Posted: 5/16/2018

Job Snapshot

  • Employee Type:
    Full-Time
  • Location:
    Kalamazoo, MI
  • Job Type:
    Finance
  • Experience:
    Not Specified
  • Date Posted:
    5/16/2018
  • Job ID:
    30761BR

Job Description

As part of this dynamic organization, you have the responsibility in this role to handle foreign currency activities. Your understanding of treasury, coupled with your collaboration with our legal and tax teams will foster your success.
  • Support Assistant International Treasurer in the management of the global hedging programs and execution of activities to support efficient funding structures of international affiliates including:
  • Lead execution of global currency derivatives and exposure reporting process for Stryker affiliates.
  • Manage program requirements for forecasted transaction hedging program including hedge documentation, internal exposure reporting/monitoring and related activities
  • Complete monthly review of derivative contract gains /losses and assess alignment to reported re-measurement of hedged exposures as reported by hedging program participants
  • Assist with large cross border settlements related to transfer price adjustments, one-off derivative contracts or payments between affiliates
  • Lead analysis of overseas affiliate funding structures and recommend changes to maintain efficient funding
  • Lead efforts to maintain and update process documentation and related material to meet internal control requirements
  • Lead the completion of the quarterly disclosures and internal reporting related to derivatives, overseas cash and external financing
  • Assist with funding of various mergers and acquisitions and facilitate new intercompany loan structures as needed.
  • Support Treasury team as needed on projects, including recurring and non-recurring transactions, acquisitions, divestitures, restructuring and other strategic issues
  • Develop and foster strong working relationships with operations and distribution contacts and cross-functional departments

Job Requirements

  • Bachelors degree in finance, economics or related field
  • MBA and/or CFA preferred
  • Minimum 8 – 10 years of foreign exchange management including derivative execution to support a multi-national hedging program and international treasury,
  • Strong analytical skills
  • Understanding of foreign exchange accounting, hedge designation requirements and the quarterly/year-end disclosure process
  • Large multi-national corporation experience preferred

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