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Job Description
Treasury Analyst Multilevel Role | Federal Express Corporation
The Tone:
This is a hybrid role at Federal Express Corporation, located in Memphis, TN, requiring work at the campus several times per week. Federal Express is a global leader in connected commerce, employing over 530,000 individuals and committed to safety, ethical standards, and community engagement. This role is crucial for supporting the company’s financial stability and growth by driving research, analysis, and execution of complex projects across cash management, corporate finance, retirement investments, or risk management. The position helps maintain effective working relationships with various stakeholders to ensure smooth financial operations.
The TL;DR
• Role: Early Career
• Location: Hybrid, Memphis, TN (candidates must live within 50 miles of campus)
• Mission: Assist in the research, analysis, and execution of complex projects in cash management, corporate finance, retirement investments or risk management to support organizational growth and mitigate financial risks.
• Tech Stack: Spreadsheet modeling, enterprise treasury management system
What You’ll Actually Do
• Treasury Support: Assist internal departments with diverse treasury needs to support corporate growth initiatives.
• Infrastructure Development: Support initiatives aimed at increasing banking infrastructure and optimizing cash management processes.
• Cash Operations: Oversee daily cash positioning activities, including cash position reconciliation, local deposits, bank reporting, and managing daily liquidity.
• Risk Management: Identify fraudulent activity and financial risks, then develop and implement effective mitigation strategies.
• Financial Optimization: Work with business units to proactively optimize cash flows, understand forecast variances, and develop mitigation plans where possible.
The Must-Haves
• Background: Bachelor’s degree in finance, economics, risk management, accounting, or business.
• Experience: Minimum of two (2) years of professional experience in a finance function is required, with four (4) years preferred for the Senior Treasury Analyst level.
• Skills: Familiarity with spreadsheet modeling and other business-related computer applications; strong analytical, communication, and interpersonal skills.
• Bonus: Proficient experience in financial modeling/Excel, experience building financial models, a Master’s Degree in Accounting or Finance, or CPA, CFA, CTP certifications.