Corporate Treasury Analyst (mfd)
Job Summary
Flex is the diversified manufacturing partner of choice that helps market-leading brands design build and deliver innovative products that improve the world.
A career at Flex offers the opportunity to make a difference and invest in your growth in a respectful inclusive and collaborative environment. If you are excited about a role but dont meet every bullet point we encourage you to apply and join us to create the extraordinary.
We are looking to add a Corporate Treasury Analyst to our Vienna Austria team. Reporting to the EMEA Treasurer this role is responsible for supporting treasury activities across cash management liquidity planning and foreign exchange (FX) risk management while contributing to treasury process optimization and digital transformation initiatives. The position combines treasury and financial risk management expertise with strong analytical capabilities leveraging automation AI-enabled solutions and data-driven insights to enhance decision-making forecasting accuracy operational efficiency and treasury controls.
What a Typical Day Looks Like
- Support global cash positioning liquidity monitoring and cash forecasting.
- Analyze cash flow trends and support liquidity planning activities.
- Monitor FX exposures prepare risk reports and support hedge programs.
- Assist with FX transaction execution settlement and compliance requirements.
- Partner with stakeholders to improve forecasting and exposure visibility.
- Develop treasury dashboards KPIs and management reporting.
- Support Treasury Management Systems bank connectivity and FX platforms.
- Drive process automation through AI analytics and digital solutions.
- Collaborate with IT to improve treasury data quality and reporting capabilities.
- Evaluate emerging treasury technologies and fintech solutions.
- Support compliance with treasury policies SOX and internal controls.
- Maintain process documentation and support audit activities.
- Identify opportunities to strengthen controls and improve treasury processes.
The Experience Were Looking to Add to Our Team
- Bachelors degree in Finance Economics Business Administration or related field.
- 1-3 years of experience in Treasury Cash Management FX Financial Risk Management or Corporate Finance.
- Experience with Treasury Management Systems (SAP Coupa or similar).
- Experience with FXall Bloomberg or other FX trading platforms.
- Advanced Excel and financial modeling skills.
- Exposure to AI automation analytics or digital transformation initiatives.
- Strong analytical communication and stakeholder management skills.
- Must be fluent in German and English.
- Treasury or finance certification (CTP CFA ACT) is a plus.
What Youll Receive for the Great Work You Provide
- A challenging and dynamic role within a global organization.
- Exposure to international treasury operations and strategic finance initiatives.
- Opportunities to drive innovation through automation analytics and AI-enabled solutions.
- Professional development and career growth opportunities in a collaborative environment.
- Competitive compensation and benefits package.
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Flex is an Equal Opportunity Employer and employment selection decisions are based on merit qualifications and abilities. We do not discriminate based on: age race religion color sex national origin marital status sexual orientation gender identity veteran status disability pregnancy status or any other status protected by law. Were happy to provide reasonable accommodations to those with a disability for assistance in the application process. Please email and well discuss your specific situation and next steps (NOTE: this email does not accept or consider resumes or applications. This is only for disability assistance. To be considered for a position at Flex you must complete the application process first).
Required Experience:
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