Senior Treasury Analyst
Magna International Investments S.A., Luxemburg, Zweigniederlassung Steinhausen
- 10/30/2025
- 100%
- Employee
- Unlimited employment
Senior Treasury Analyst
The Senior Treasury Analyst supports Magna’s European Corporate Treasury team in managing cash, liquidity, and foreign exchange activities across multiple regions. The position focuses on short-term funding, commercial paper management, and supporting treasury optimization projects. It requires solid analytical skills, accuracy, and experience with international treasury operations.
Key Responsibilities
● Manage regional liquidity planning and cash forecasts on a daily and monthly basis
● Execute and monitor foreign exchange transactions and hedging programs
● Support commercial paper issuance and short-term investment processes
● Assist in preparing monthly treasury reports and quarterly funding strategies
● Collaborate with Group Treasury, tax, audit, and legal functions to ensure compliance
● Participate in ongoing treasury process improvement and automation initiatives
Requirements
Must have
● Master’s degree in finance, accounting, or economics
● Minimum 4 years of professional experience in treasury, finance, or audit within a multinational environment
● Hands-on experience with foreign exchange, liquidity management, and short-term funding operations
● Proficiency in MS Office (including Power BI)
● Experience working with treasury systems such as 360T, FIS Integrity, and OneStream
● Strong analytical and numerical skills with attention to detail
● Fluent in English (spoken and written)
● Good Knowledge of Mandarin or Cantonese
Preferred
● Familiarity with Chatham Financial and Finastra matching system
● Understanding of SQL or programming for treasury reporting automation
● Professional qualification such as CPA or equivalent