Senior Treasury Analyst

Expedia Group

$82K — $132K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Business, Finance, Economics, Accounting, or Data Science
  • 5+ years of experience in banking, corporate treasury, or corporate accounting
  • Proficient in SQL, Python, or R
  • Excellent written and verbal communication skills
  • Knowledgeable in banking regulations and cash management practices
  • Strong organizational and problem-solving skills
  • Advanced skills in Excel, PowerPoint, and PowerBI

Responsibilities

  • Review and consolidate cash balances across global accounts
  • Invest/redeem funds while ensuring compliance with policies
  • Ensure timely settlement of all Treasury payments
  • Collaborate with teams to enhance Treasury data infrastructure
  • Lead automation of management reporting processes
  • Evaluate and recommend investment opportunities for subsidiaries
  • Provide treasury expertise to cross-functional teams
  • Maintain communication with senior management regarding cash activities

Benefits

  • Medical, dental, and vision coverage
  • Paid time off
  • Employee Assistance Program
  • Wellness and travel reimbursement
  • Travel discounts
  • International Airlines Travel Agent (IATAN) membership
Full Job Description
Sr. Treasury Analyst, Global Cash Operations

Expedia Group's Treasury team is responsible for the company's cash positioning, investments, free cash flow and working capital management resulting from approximately $100 billion in annual gross bookings generated from its global portfolio of brands that offer travel products in more than two hundred countries and territories.

We are looking for a highly motivated Sr. Treasury Analyst, with a proven track record of achieving results to join Expedia's global cash operations team. In this position, you will play an integral role in managing Treasury payments, investments, and helping drive technology solutions across Treasury.

What you will do:
  • Review and consolidate cash balances reporting across our global accounts to determine the company's daily cash position.
  • Invest/redeem funds ensuring investment diversification and compliance with the Global Cash Management Policies
  • Ensure the accurate and timely settlement for all Treasury payments Collaborate with Treasury and data engineering teams to build out Treasury data infrastructure to support key initiatives leveraging machine learning, data visualization, and artificial intelligence
  • Lead initiatives to automate management reporting processes by deploying advanced analytics platforms to enhance reporting accuracy, accelerating timelines, and enabling real-time decision-making across global treasury operations.
  • Process back-office settlement instructions for FX hedging & investments transactions.
  • Evaluate, screen, and recommend various investment opportunities for assigned subsidiaries.
  • Provide treasury expertise and guidance to cross-functional teams such as AP, Payroll, Tax, and Finance Operations
  • Review and implement cash concentration, repatriation and pooling structures that are compliant with US Tax, international statutory, and central bank requirements.
  • Design and consult with Expedia stakeholders and business units in the strategic design and maintenance of efficient bank account structures, use of bank products, platforms, and cash management operations.
  • Maintain excellent and time-sensitive communication with all companies as well as the senior management for all cash activities globally and by region.
  • Evaluate, monitor, and communicate banking counterparty performance.
  • Liaise with external banking partners to drive change and execution of treasury initiatives.
  • Develop and implement treasury policies and procedures to enhance operational efficiency and compliance.
  • Prepare daily, monthly, and quarterly cash management reporting and metrics.

Experience and Qualifications:
  • Bachelor's degree - Business, Finance, Economics, Accounting, or Data science
  • Experience with programming languages such as SQL, Python, R
  • Minimum 5 years of experience working in banking, corporate treasury, corporate accounting, or comparable education
  • Excellent written and verbal communication skills
  • Knowledge of banking regulations, banking practices, cash management and foreign exchange
  • Strong organization, documentation, and problem-solving skills
  • Advanced user in Excel, PowerPoint, and PowerBI
  • Ability to work effectively in a fast-paced environment and manage multiple priorities


The total cash range for this position in Seattle is $82,500.00 to $115,500.00. Employees in this role have the potential to increase their pay up to $132,000.00, which is the top of the range, based on ongoing, demonstrated, and sustained performance in the role.

Starting pay for this role will vary based on multiple factors, including location, available budget, and an individual's knowledge, skills, and experience. Pay ranges may be modified in the future.

Expedia Group is proud to offer a wide range of benefits to support employees and their families, including medical/dental/vision, paid time off, and an Employee Assistance Program. To fuel each employee's passion for travel, we offer a wellness & travel reimbursement, travel discounts, and an International Airlines Travel Agent (IATAN) membership. View our full list of benefits.

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