Senior Analyst, Treasury Operations

  • Boston Scientific
  • Marlborough, MA, United States
  • May 11, 2017
Full time Treasury

Job Description

We are currently seeking a Senior Analyst to lead the daily Treasury Operations financial actives in addition to taking a lead role in overseeing our global in-house bank and intercompany payment netting programs.

The successful candidate will join a Treasury team with a strong and fast-paced culture of excellence, innovation and talent development. We seek a team player who is passionate about leveraging finance skills, technology and lean business concepts to drive process improvements and create value. The successful candidate will bring a solid treasury operations experience and demonstrated continuous improvement mindset with high quality results.


Key Responsibilities:

  • Recommend & implement strategies to optimize global cash availability
  • Provide high quality and timely treasury services to global entities
  • Lead the in-house banking and intercompany payment netting services for over 45 entities and 100 global legal entities, respectively
  • Use technology and lean business techniques to increase the effectiveness and efficiency of global operational processes
  • Work with cross-functional teams (tax, accounting, legal and divisional finance) on numerous initiatives
  • Primary banking service contact for Latin America, Europe and Asia Pacific.
  • Execute investment strategies within policy guidelines
  • Integrate and provide on-board training to acquired companies, as appropriate.
  • Lead projects to implement efficiencies and reduce overall banking costs
  • Participate in the construction of the global cash flow forecast and reporting processes, including senior management reporting, cash flow analysis, and cross-functional collaboration of forecasting and reporting deliverables
  • Ensure a high standard of controls and authorities over bank accounts and treasury transactions in accordance with policies. Work with the entities to update bank account signatories and issue bank guarantees.
  • Establish and promote a work environment that supports the Quality Policy and Quality System.



  • Solid understanding of cash management, treasury systems, and policies and procedures for a global organization; experience with IT2 / GTreasury a plus.
  • 5+ years of Treasury experience
  • Strong understanding of finance and cash management policies and procedures for a global organization
  • Strong understanding of SWIFT Messaging and corporate connectivity to SWIFT
  • BS degree in Finance or Accounting, MBA a plus
  • Proven ability to leverage current technology
  • Excellent communication skills. Results and detail-oriented, team player, and with strong project management skills
  • Strong proficiency with Excel, Word and PowerPoint & treasury workstation. MS Visio, SAP, Bloomberg or Hyperion a plus 

For immediate consideration please apply online at the following link: