Operations Change Analyst, International Treasury

3 days ago


Dublin, Ireland Google Ireland Ltd Full time

Minimum qualifications: Bachelor's degree in Accounting or Finance, or equivalent practical experience. 4 years of experience in a corporate treasury or banking operations role, with a focus on middle office, trade support, or risk. Experience with Treasury Management Systems (TMS) such as SAP, FXAll, 360T, Bloomberg, or Reval. Preferred qualifications: Experience with systems evaluation, implementation, and integration. Experience defining and documenting business requirements and processes. Ability to dive into details, support operations, and deliver projects as needed. Excellent operational, process management, quantitative, or investigative skills. Excellent problem-solving, verbal, and written communication skills. About the job Google's Treasury team is on a mission to optimize the return on Google's financial assets. As a member of this team, you're always looking for innovative ways to help Google invest for the future while limiting volatility and material surprises. In addition to risk busting and asset management, you work collaboratively to administer business insurance programs and stock programs, and provide financial analysis support to our internal teams. You make creative yet calculated decisions that are backed by both experience and your extensive knowledge of the economy and financial industry. The name Google came from "googol," a mathematical term for the number 1 followed by 100 zeros. And nobody at Google loves big numbers like the Finance team when providing in depth analysis on all manner of strategic decisions across Google products. From developing forward-thinking analysis to generating management reports to scaling our automated financial processes, the Finance organization is an important partner and advisor to the business. Responsibilities Manage and lead treasury system enhancement projects from inception to completion, including defining business requirements, testing, and implementation. Identify, analyse, and implement process improvements within the international cash management and Foreign Exchange (FX) trading operations to increase accuracy, efficiency, and control. Act as a point of contact for escalations from the outsourced FX trading operations team, providing timely resolution and guidance. Collaborate effectively with cross-functional teams, including engineering and other finance groups, to achieve project goals. Ensure adherence to regulatory requirements and internal policies. To be considered for this role you will be redirected to and must complete the application process on our careers page. To start the process, click the Apply button below to Login/Register.


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