As a treasury analyst you will operate with a high degree of ownership and partners cross ... Knowledge of foreign exchange markets, hedging strategies, and risk management practices
As a treasury analyst you will operate with a high degree of ownership and partners cross ... Knowledge of foreign exchange markets, hedging strategies, and risk management practices
Perform administrative functions to support the Risk Management and Treasury Department. * Assists hospitals and HPL/WC staff with information used for analysis of occurrences/incidents. * Issues ...
Perform administrative functions to support the Risk Management and Treasury Department. * Assists hospitals and HPL/WC staff with information used for analysis of occurrences/incidents. * Issues ...
The Finance & Treasury Analyst will play a critical role in supporting the stand-up and ongoing ... Support risk management activities, including insurance and exposure tracking * Respond to ad hoc ...
Quick apply
The Finance & Treasury Analyst will play a critical role in supporting the stand-up and ongoing ... Support risk management activities, including insurance and exposure tracking * Respond to ad hoc ...
... Treasury management products and services that solve customer needs * Contribute to fee revenue ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
... Treasury management products and services that solve customer needs * Contribute to fee revenue ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
SAP FI -Treasury and Banking
Portland, OR · On-site
Company Description Deegit inc • Core BANKING a MUST NEEDED SKILLS • APP • Treasury and Risk Management. • Electronic Bank Statements • SEPA • Bank Master Data • Payroll interfaces and ...
SAP FI -Treasury and Banking
Portland, OR · On-site
Company Description Deegit inc • Core BANKING a MUST NEEDED SKILLS • APP • Treasury and Risk Management. • Electronic Bank Statements • SEPA • Bank Master Data • Payroll interfaces and ...
Corporate Treasury Analyst
New York, NY · On-site
The Corporate Treasury Analyst is responsible for supporting the organization's treasury function ... Support investment and financial risk management activities, including monitoring exposures related ...
Corporate Treasury Analyst
New York, NY · On-site
The Corporate Treasury Analyst is responsible for supporting the organization's treasury function ... Support investment and financial risk management activities, including monitoring exposures related ...
Lead Treasury Analyst - IRR Forecasting & Analytics
Cleveland, OH · On-site
$63K - $96K/yr
The IRR team is responsible for measuring, monitoring, and managing interest rate risk, producing balance sheet forecasts, performing analysis to inform strategy and Treasury decision-making, and ...
Lead Treasury Analyst - IRR Forecasting & Analytics
Cleveland, OH · On-site
$63K - $96K/yr
The IRR team is responsible for measuring, monitoring, and managing interest rate risk, producing balance sheet forecasts, performing analysis to inform strategy and Treasury decision-making, and ...
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs as well as for the projects approved by the Board * Monitor and enhance liquidity risk management ...
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs as well as for the projects approved by the Board * Monitor and enhance liquidity risk management ...
... Treasury management products and services that solve customer needs * Contribute to fee revenue ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
... Treasury management products and services that solve customer needs * Contribute to fee revenue ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs ... Within the Treasury & Finance Department, provide financial solutions and analysis to address ...
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs ... Within the Treasury & Finance Department, provide financial solutions and analysis to address ...
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs as well as for the projects approved by the Board * Monitor and enhance liquidity risk management ...
Quick apply
Manage liquidity risk of the Bank and ensure adequate liquidity for Bank's daily operational needs as well as for the projects approved by the Board * Monitor and enhance liquidity risk management ...
Treasury Management Officer
$75K - $86K/yr
Assesses operational and risk considerations related to treasury management services in collaboration with internal partners * Represents Peak Credit Union in the community at business networking ...
Treasury Management Officer
$75K - $86K/yr
Assesses operational and risk considerations related to treasury management services in collaboration with internal partners * Represents Peak Credit Union in the community at business networking ...
Answer customer questions relating to Treasury management products, services and fees * Actively ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
Answer customer questions relating to Treasury management products, services and fees * Actively ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
Treasury Associate
New York, NY · On-site
This role will support every aspect of broker dealer treasury including funding decisions, liquidity risk management, and effective balance sheet management. Responsibilities include: * Measuring the ...
Treasury Associate
New York, NY · On-site
This role will support every aspect of broker dealer treasury including funding decisions, liquidity risk management, and effective balance sheet management. Responsibilities include: * Measuring the ...
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Answer customer questions relating to Treasury management products, services and fees * Actively ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
Answer customer questions relating to Treasury management products, services and fees * Actively ... Maintain awareness of and adherence to Bank's compliance requirements and risk management concepts ...
Purpose This is an entry level position who's time will be allocated 50% in the Risk Management Department, and 50% in the Safety Department. The employee will perform a variety of routine ...
Purpose This is an entry level position who's time will be allocated 50% in the Risk Management Department, and 50% in the Safety Department. The employee will perform a variety of routine ...
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Treasury Management Trainee
Pasadena, CA · On-site
$80K/yr
Overview The Treasury Management Trainee Program is designed to recruit top STEM-oriented talent ... risk framework, and governance environment. The program will begin in July 2026 and run for 24 ...
Treasury Management Trainee
Pasadena, CA · On-site
$80K/yr
Overview The Treasury Management Trainee Program is designed to recruit top STEM-oriented talent ... risk framework, and governance environment. The program will begin in July 2026 and run for 24 ...
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Quick apply
Treasury Analyst
Pineville, LA · On-site
Risk Management, Controls & Compliance * Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information. * Adhere to established internal controls, approval ...
Entry Level Treasury Risk Management information
What is the difference between Entry Level Treasury Risk Management vs Entry Level Financial Analyst?
| Aspect | Entry Level Treasury Risk Management | Entry Level Financial Analyst |
|---|---|---|
| Required Credentials | Bachelor's in Finance, Economics, or related field; certifications like CFA or FRM are a plus | Bachelor's in Finance, Economics, or related field; certifications like CFA are common |
| Work Environment | Corporate treasury departments, financial institutions, large corporations | Financial services firms, corporations, investment banks |
| Employer & Industry Usage | Used in industries managing liquidity, currency, and interest rate risks | Used across industries for financial planning, analysis, and reporting |
Entry Level Treasury Risk Management focuses on identifying and mitigating financial risks related to liquidity, currency, and interest rates within a company's treasury. In contrast, Entry Level Financial Analysts analyze financial data to support business decisions, budgeting, and forecasting. While both roles require strong finance knowledge and similar credentials, Treasury Risk Management is more specialized in risk mitigation strategies, whereas Financial Analysts have a broader focus on financial performance analysis.
Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Posted 13 hours ago
Yum! Brands rating
3.9
Based on 8 frontline employees who took The Breakroom Quiz
Job description
Who is Yum! Brands?
Ready to make your mark at an iconic global powerhouse? Join Yum! Brands - the parent company behind KFC, Pizza Hut, Taco Bell and Habit Burger & Grill - be a part of our reinvention for Greater Growth.
We are a culture-driven company where innovation, collaboration, and passion fuel everything we do. We're seeking talented individuals to make a difference across our global business. Whether you're just starting out or stepping into leadership, you'll help shape our future by delivering results that matter and bringing your smart, heart, and courage to the table.
If you're ready to grow with a company that values curiosity, high performance, and meaningful work-join us. Let's build the future of Yum! together!
About the Job:
The Treasury Analyst - International supports Yum! Brands' global treasury operations with a focus on international cash management, forecasting, foreign exchange (FX), and intercompany financing. As a treasury analyst you will operate with a high degree of ownership and partners cross-functionally with global markets, Tax, and Finance to optimize liquidity, support cash repatriation strategies, and manage financial risk across the organization.
You will be required to attend the Louisville, KY office three days per week (Tuesday - Thursday).
Salary Range:
$89,300-$100,000 + bonus eligibility. This is the expected salary range for this position. Ultimately, in determining pay, we'll consider the successful candidate's location, experience, and other job-related factors.
Minimum Requirements:
- Bachelor's degree in finance, Accounting, or related field
- Relevant experience in treasury, cash management, financial planning, or related disciplines
- Strong analytical and financial modeling skills with experience in forecasting and variance analysis
- Proficiency in Microsoft Excel; experience with treasury management and banking systems preferred
- Strong communication and collaboration skills with experience working across global teams
Preferred Qualifications:
- Knowledge of foreign exchange markets, hedging strategies, and risk management practices
- Understanding of intercompany financing structures and global liquidity management
- Demonstrated ability to manage complex processes and drive process improvements in a global environment
Benefits:
Employees (and their eligible family members) may enroll in the following types of insurance coverage: medical, dental, vision, legal, and accidental death and dismemberment, as well as FSA/HSA (depending on enrolled medical plan). Yum! also provides short-term disability, long-term disability, and life insurance. Employees may enroll in our 401(k) plan. Yum! provides 4 weeks of vacation, paid sick leave, 10 paid holidays, a floating day off and 2 paid days for volunteer time each calendar year. To learn more about working at Yum! -Click here.
At Yum!, one of our core values is to Believe in ALL People. This means seeing the value in everyone and unlocking their full potential to be their best self. YUM! Brands, Inc. (including its subsidiaries Yum Restaurant Services Group, LLC ("YRSG") and Yum Connect, LLC ("Yum Digital and Technology") (collectively, "Yum") is proud to be an equal opportunity employer and is committed to equity, inclusion, and belonging for all dimensions of diversity. We do not discriminate based on race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, disability status, age, or any other protected characteristic. Yum! is committed to working with and providing reasonable accommodation to applicants with disabilities or special needs.
US Job Seekers/Employees - Click here to view the "Know Your Rights" poster and supplement and the Pay Transparency Policy Statement.
This posting will be open for a minimum of two weeks. Applications will be accepted on an ongoing basis until a candidate is selected.
Beware of fake job postings using Yum! and/or our brand logos -- KFC, Pizza Hut, Taco Bell and Habit Burger & Grill -- on fraudulent sites. Yum! Brands only posts jobs on official career pages and never asks for money during onboarding. Avoid unsolicited contacts via Telegram, WhatsApp or similar social apps.
Minimum Requirements:
- Bachelor's degree in finance, Accounting, or related field
- Relevant experience in treasury, cash management, financial planning, or related disciplines
- Strong analytical and financial modeling skills with experience in forecasting and variance analysis
- Proficiency in Microsoft Excel; experience with treasury management and banking systems preferred
- Strong communication and collaboration skills with experience working across global teams
Preferred Qualifications:
- Knowledge of foreign exchange markets, hedging strategies, and risk management practices
- Understanding of intercompany financing structures and global liquidity management
- Demonstrated ability to manage complex processes and drive process improvements in a global environment
Primary Responsibilities:
- Oversee FX back-office activities, including trade settlement, confirmation, and reconciliation, ensuring adherence to internal controls
- Manage FX processes and relationships with external vendors to support currency risk mitigation and repatriation strategies
- Provide FX insights and reporting to internal stakeholders, including distribution of monthly FX rates and Bloomberg-sourced data
- Perform quarterly mark-to-market valuations for FX hedging instruments and support hedge documentation and compliance requirements
- Own the intercompany loan portfolio, including balance tracking, renewals, and compliance with internal policies
- Maintain detailed and auditable records of intercompany transactions to support internal and external reporting requirements
- Support and help execute repatriation strategies by coordinating across global markets and internal stakeholders
- Develop and deliver interest forecasts and related analysis to support financial planning
- Provide subject matter support for domestic treasury operations, ensuring continuity of daily cash processes
- Lead or contribute to cross-functional initiatives to enhance treasury processes, reporting, and system capabilities
- Deliver quarterly reporting, including investment income calculations and hedge valuations
- Ensure compliance with SOX requirements and internal treasury policies, supporting documentation and audit readiness
- Provide analytical insights and reporting to support leadership decision-making and treasury strategy
What Yum! Brands employees say
Pay
Benefits
Hours and flexibility
Workplace
Get the full story on Breakroom
About Yum! Brands
Sourced by ZipRecruiter
Industry
Food services and drinking places
Company size
1,001 - 5,000 Employees
Headquarters location
Louisville, KY, US
Year founded
1997