Regal Beloit
Senior Treasury Analyst II (Finance)
You may not know it, but Regal Rexnord impacts your life every day. Our products enable the fans in HVAC systems that keep us comfortable; the power source that keeps smart buildings running; the agricultural and food service equipment that keeps us fed; and the conveyer systems that keep e-commerce flowing.
Our business purpose is to create a better tomorrow by energy-efficiently converting power into motion. For us, this means creating innovative solutions while focused on both customer needs and our commitment to sustainability. Join our team to create your better tomorrow. Scope of leadership role
Seeking a highly motivated Senior Treasury Analyst professional, analyzing foreign exchange and commodity risk, creating cashflow forecasts, regulatory compliance, and supporting various global treasury initiatives. This position will be based in Rosemont, IL, which is the executive satellite office for Regal.
Reporting to the Director of Treasury, this Senior Treasury Analyst will serve as a key member of the Global Treasury team. This is a hands-on role responsible performing more complex treasury transactions and analysis involving commodity and foreign exchange risk management, cash forecasting, financial modeling, M&A integration, and global treasury management. This role will be mentored by experienced Corporate Treasury professionals and work closely with other team members to ensure proper financial risk management and cash utilization. Successful candidate has a desire to develop their Corporate Treasury experiences while contributing meaningful activities to Regal's Global Treasury function.
Key Responsibilities
Currency Risk Management
The successful candidate will have 2-3 years of corporate treasury experience. The candidate must have the passion, energy and intellectual curiosity necessary for a fast-paced, growth-driven environment.
Key Characteristics: