Senior Treasury Analyst, Capital Markets
About the position
We work together to transform essential resources into critical ingredients for mobility, energy, connectivity and health. Join our values-led organization committed to building a more resilient world with people and planet in mind. Our core values are the foundation that make us successful for ourselves, our customers and the planet. Albemarle is hiring for Senior Treasury Analyst in Charlotte, NC This position will be hybrid. The Treasury department at Albemarle helps the company maximize shareholder value by delivering the appropriate finance solutions to our businesses. The Senior Treasury Analyst, Capital Markets has broad responsibilities, including support for foreign exchange, commodity, and interest rate hedging; working capital initiatives; funding strategy; and capital markets activities. The role is increasingly focused on developing executiveâlevel presentations, executing capital policy, supporting ratingâagency modeling, and applying automation and AI to enhance Treasury processes. The role will interact with a variety of functional areas, including Controlling, Tax, Legal, Audit, Business finance and our banking partners. The position offers significant exposure to our global business and visibility to senior management.
Responsibilities
⢠Manage day-to-day Commercial Paper trading activities and reporting
⢠Support the development and execution of foreign exchange, commodity, and interest rate risk management strategies, including cash flow, balance sheet, and net investment hedging
⢠Proactively identify foreignâexchange risks and enhance forecasting, exposure measurement, and decisionâsupport capabilities
⢠Contribute to capital policy execution through analytical support, scenario analysis, and modeling related to leverage targets, liquidity, funding strategy, and ratingâagency metrics
⢠Prepare, maintain, and enhance executiveâlevel materials, including management, Board of Directors, and ratingâagency presentations
⢠Support debt and equity capital market transactions, and ongoing market monitoring
⢠Assist in the evaluation and optimization of working capital and liquidity solutions
⢠Prepare Treasury inputs and reports to support month-end close and external reporting requirements, including covenant compliance and select disclosures supporting SEC filings
⢠Drive process improvement initiatives within Treasury, leveraging automation, data analytics, and AI to improve efficiency, controls, and decisionâmaking
⢠Provide analytical support through adâhoc financial modeling, scenario analysis, and special projects related to capital markets, risk management, and Treasury strategy
⢠Serve as a crossâtrained resource and backup across Treasury Operations functions as needed, supporting continuity and knowledge sharing
Requirements
⢠Bachelorâs degree in finance, Economics, Business Administration, or a related field
⢠2â4 years of directly relevant experience
⢠Working knowledge of derivatives and financial instruments is required
⢠Demonstrated strong analytical capability, with the ability to think independently, synthesize complex information, and develop thoughtful, valueâadding recommendations
⢠Proven ability to collaborate effectively as part of a team while operating at a high level in a fastâpaced, dynamic environment
⢠Strong work ethic and a clear aspiration to grow as a leader within the organization
⢠Excellent interpersonal and communication skills, with the ability to convey complex financial concepts clearly in both written and verbal formats
⢠High level of intellectual curiosity, with the ability to balance strategies, bigâpicture thinking and close attention to detail
⢠Ability to focus on critical priorities and exercise sound judgment in managing competing demands
⢠Genuine interest in Treasury and financial risk management, supported by a solid foundation in financial accounting
⢠Intermediate to advanced proficiency in Microsoft Office applications, with experience extracting, analyzing, and manipulating data from ERP systems
⢠Relevant experience in one or more of the following areas is preferred: Corporate Treasury, Corporate Tax, Commercial or Investment Banking, Financial Consulting, Accounting, Strategic Planning/Corporate Development, or financial analysis within Business Operations
⢠Demonstrated ability to leverage automation, data analytics, and AI tools to improve efficiency, insight, and decisionâmaking
Nice-to-haves
⢠Professional certifications such as CTP or CFA, and/or an MBA
⢠Familiarity with Treasury and financial systems such as Kyriba, FXall, SAP, and BPC is preferred
Benefits
⢠Competitive compensation
⢠Comprehensive benefits package
⢠A diverse array of resources to support you professionally and personally.
Apply tot his job
Apply To this Job
We work together to transform essential resources into critical ingredients for mobility, energy, connectivity and health. Join our values-led organization committed to building a more resilient world with people and planet in mind. Our core values are the foundation that make us successful for ourselves, our customers and the planet. Albemarle is hiring for Senior Treasury Analyst in Charlotte, NC This position will be hybrid. The Treasury department at Albemarle helps the company maximize shareholder value by delivering the appropriate finance solutions to our businesses. The Senior Treasury Analyst, Capital Markets has broad responsibilities, including support for foreign exchange, commodity, and interest rate hedging; working capital initiatives; funding strategy; and capital markets activities. The role is increasingly focused on developing executiveâlevel presentations, executing capital policy, supporting ratingâagency modeling, and applying automation and AI to enhance Treasury processes. The role will interact with a variety of functional areas, including Controlling, Tax, Legal, Audit, Business finance and our banking partners. The position offers significant exposure to our global business and visibility to senior management.
Responsibilities
⢠Manage day-to-day Commercial Paper trading activities and reporting
⢠Support the development and execution of foreign exchange, commodity, and interest rate risk management strategies, including cash flow, balance sheet, and net investment hedging
⢠Proactively identify foreignâexchange risks and enhance forecasting, exposure measurement, and decisionâsupport capabilities
⢠Contribute to capital policy execution through analytical support, scenario analysis, and modeling related to leverage targets, liquidity, funding strategy, and ratingâagency metrics
⢠Prepare, maintain, and enhance executiveâlevel materials, including management, Board of Directors, and ratingâagency presentations
⢠Support debt and equity capital market transactions, and ongoing market monitoring
⢠Assist in the evaluation and optimization of working capital and liquidity solutions
⢠Prepare Treasury inputs and reports to support month-end close and external reporting requirements, including covenant compliance and select disclosures supporting SEC filings
⢠Drive process improvement initiatives within Treasury, leveraging automation, data analytics, and AI to improve efficiency, controls, and decisionâmaking
⢠Provide analytical support through adâhoc financial modeling, scenario analysis, and special projects related to capital markets, risk management, and Treasury strategy
⢠Serve as a crossâtrained resource and backup across Treasury Operations functions as needed, supporting continuity and knowledge sharing
Requirements
⢠Bachelorâs degree in finance, Economics, Business Administration, or a related field
⢠2â4 years of directly relevant experience
⢠Working knowledge of derivatives and financial instruments is required
⢠Demonstrated strong analytical capability, with the ability to think independently, synthesize complex information, and develop thoughtful, valueâadding recommendations
⢠Proven ability to collaborate effectively as part of a team while operating at a high level in a fastâpaced, dynamic environment
⢠Strong work ethic and a clear aspiration to grow as a leader within the organization
⢠Excellent interpersonal and communication skills, with the ability to convey complex financial concepts clearly in both written and verbal formats
⢠High level of intellectual curiosity, with the ability to balance strategies, bigâpicture thinking and close attention to detail
⢠Ability to focus on critical priorities and exercise sound judgment in managing competing demands
⢠Genuine interest in Treasury and financial risk management, supported by a solid foundation in financial accounting
⢠Intermediate to advanced proficiency in Microsoft Office applications, with experience extracting, analyzing, and manipulating data from ERP systems
⢠Relevant experience in one or more of the following areas is preferred: Corporate Treasury, Corporate Tax, Commercial or Investment Banking, Financial Consulting, Accounting, Strategic Planning/Corporate Development, or financial analysis within Business Operations
⢠Demonstrated ability to leverage automation, data analytics, and AI tools to improve efficiency, insight, and decisionâmaking
Nice-to-haves
⢠Professional certifications such as CTP or CFA, and/or an MBA
⢠Familiarity with Treasury and financial systems such as Kyriba, FXall, SAP, and BPC is preferred
Benefits
⢠Competitive compensation
⢠Comprehensive benefits package
⢠A diverse array of resources to support you professionally and personally.
Apply tot his job
Apply To this Job