Treasury Analyst
Apply now »Date: Apr 4, 2025
Location: North Reading, MA, US
Company: Teradyne
We are the global test and automation specialists, powering next-generation technologies through sophisticated solutions. Behind every electronic device you use, Teradyne's test technology ensures your device works right the first time, every time! Our portfolio of automation solutions help manufacturers to develop and deliver products quickly, efficiently and cost-effectively. Together, Teradyne companies deliver manufacturing automation across industries and applications around the world!
We attract, develop, and retain a high-performance workforce, comprised of people with diverse backgrounds and a shared drive for excellence. We strive to foster a positive and inclusive work environment that helps employees, and communities, thrive.
Our Purpose
TERADYNE, where experience meets innovation and driving excellence in every connection. We are fueled by creativity and diversity of thought and in our workforce. Our employees are supported to innovate and learn something new every day.
We cultivate a culture of inclusion for all employees that respects their individual strengths, views, and experiences. We believe that our differences enable us to be a better team – one that makes better decisions, drives innovation and delivers better business results
Opportunity Overview
Responsibilities include, but are not limited to the following:
- Determine U.S. daily cash position and invest/redeem from Money Market Fund (MMF)
- Ensure timely and accurate processing of payments , including but not solely, intercompany funding needs, federal, state and local taxes & vendor wire/ACH payments
- Prepare & execute monthly and mid-month Foreign exchange hedges and execute settlement payments
- Perform Know Your Customer and other administrative or compliance requests, such as ISDA and Dodd Frank regulations.
- Maintain and update Treasury policies and procedures
- Prepare the annual FBAR reporting for US Tax Dept.
- Prepare and review of monthly, quarterly and annual Treasury related financial reporting controls and support internal & external audit/SOX requests
- Coordinates company activities relating to banking. Evaluates bank services and fees, monitors bank performance and recommends appropriate action.
- Maintain and update bank account management including system administration, bank account updates, and signatory changes.
- Serve as primary contact for banking partners, responsible for maintaining banking related documentation, accounts & online banking system maintenance. Maintain letter of credit portfolio.
- Maintain insurance portfolio, interacting with insurance companies and gather data for annual insurance renewal
- Investigate and resolve banking issues
- Support process improvements; leverage systems and available technology to automate processes for efficiency and scalability
- Liaise with A/R, A/P, Tax, Payroll, Accounting and Facilities teams for various cross-functional processes and projects
- Assist with special projects as assigned
All About You
We seek individuals who share our passion and determination. Our commitment to customer success drives us to go the extra mile. If you’re ready to join us in this mission, take a closer look at the minimum criteria for the position.
Qualifications and skills:
- Bachelors or equivalent experience
- Knowledge of US and international corporate banking services, cash management, payment processing and networks. Previous experience with Bank of America CashPro preferred
- Must be very detailed-oriented, able to prioritize duties and meet a variety of deadlines in a fast-paced environment
- Good oral & written communication skills; able to interface with internal & external business partners
- Treasury experience (global treasury preferred)
- Ability to be a team player with a conscientious and motivated attitude
- Experience with SOX controls preferred
- Experience with ERP systems (Oracle preferred)
- Ability to prioritize and manage multiple projects with minimal supervision.
- Proficient in MS Office, specifically Excel.
- Fast learner, flexibility, and capability to work under pressure.
- 5+ years of Treasury (cash management, insurance, etc.) related experience
- General knowledge of business, Treasury, procedures, and policies.
Hybrid: the expectation is 2-3 days in the office per week
We do not have budget for international relocation for this position.
This position is not eligible for visa sponsorship.
Benefits:
Teradyne offers a variety of robust health and well-being benefit programs, including medical, dental, vision, Flexible Spending Accounts, retirement savings plans, life and disability insurance, paid vacation & holidays, tuition assistance programs, and more. Please click here to see details.
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