CrawlJobs Logo

Intern, Treasury

biomarin.com Logo

BioMarin Pharmaceutical

Location Icon

Location:
United States , San Rafael

Category Icon
Category:

Job Type Icon

Contract Type:
Not provided

Salary Icon

Salary:

24.00 - 27.00 USD / Hour

Job Description:

The BioMarin Summer Internship Program will enable students to gain valuable experience and knowledge of the processes and systems within BioMarin, while gaining an insight into the pharmaceutical/biotech industry. Over the course of 10 - 12 weeks our interns gain industry experience while working alongside our talented team on meaningful projects. The Treasury team serves as the company’s trusted financial steward, ensuring liquidity, managing risk, and supporting global operations. Its mission is to provide strategic financial advice and implement risk mitigation strategies that enable the development and distribution of BioMarin’s products to patients worldwide.

Job Responsibility:

Critical support for foreign exchange, corporate insurance and risk analysis, as well as capital markets activities

Requirements:

  • Student pursuing a Bachelor’s Degree in finance, economics, business, or related subject
  • Must be available to work full-time, 40 hours a week
  • Must be currently enrolled as a full-time student at an accredited U.S. based university or college and enrolled in the fall term after the completion of the internship OR have graduated within 1 year of the start of the program
  • Must be able to relocate if necessary and work at the designated site for the duration of the internship for on-site, hybrid roles
  • Strong desire to learn the treasury function in a multinational environment
  • Ability to manage multiple projects simultaneously
  • Excellent communication and organizational skills
  • Adaptability in a fast-paced, dynamic workplace
  • Meticulous attention to detail

Nice to have:

Understanding of financial markets including currencies, debt instruments, and interest rate trends

What we offer:
  • Paid hourly wage, paid company holidays, and sick time
  • Apply skills and knowledge learned in the classroom to on-the-job experiences
  • Comprehensive, value-added project(s)
  • Develop skills specific to your major
  • Opportunities for professional development by building relationships and learning about other parts of the business
  • Participate in company all hands meetings, monthly community lunches
  • Corporate office amenities such as: 24/7 on-site gym, coffee truck, snacks
  • Access to Employee Resource Groups

Additional Information:

Job Posted:
January 07, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

Looking for more opportunities? Search for other job offers that match your skills and interests.

Briefcase Icon

Similar Jobs for Intern, Treasury

Corporate Treasury Operations Intern

Join us in building the future of finance. Our mission is to democratize finance...
Location
Location
United States , Washington, D.C.
Salary
Salary:
36.00 USD / Hour
robinhood.com Logo
Robinhood
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Currently pursuing a master’s degree in Finance, Economics, Business, Financial Engineering, or a related field
  • Strong analytical and problem-solving skills, with an ability to apply them in a fast-paced environment
  • Proficiency with Microsoft Excel and exposure to financial analysis tools
  • Excellent verbal and written communication skills
Job Responsibility
Job Responsibility
  • Support the implementation of the Treasury Management System and enhance reporting workflows
  • Conduct financial analysis to help identify potential risks and opportunities
  • Contribute to AI strategy development to improve automation and decision-making across treasury operations
  • Collaborate with cross-functional partners to gather, analyze, and apply data insights
  • Stay up-to-date on market conditions and regulatory changes that may impact Treasury processes
What we offer
What we offer
  • Market competitive compensation structure
  • Quarterly lifestyle wallet for personal wellness, learning and development, and more
  • Time away including company holidays, paid time off, and sick time
  • Lively office environment with catered meals, fully stocked kitchens, and geo-specific commuter benefits
  • Fulltime
Read More
Arrow Right

Audit Manager - Liquidity and Treasury Risk

The Audit Manager is an intermediate level role responsible for performing moder...
Location
Location
Canada , Mississauga
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 7+ to 12 years of relevant experience
  • Working knowledge with risk stripes i.e. Liquidity Risk and Non-Trading Market Risk i.e. Interest Rate Risk and/or Risk Management in 2nd Line of Defense
  • Managerial experience over a team of 2-4 individuals, providing training and coaching
  • Effective verbal and written communication and negotiation skills
  • Effective project management skills
  • Effective influencing and relationship management skills
  • Demonstrated ability to remain unbiased in a diverse working environment
  • Advanced English Skills (verbal and written) required
  • Related certifications (CPA, ACA, CFA, CIA, CISA or similar) preferred
  • Bachelor's/University degree, Master's degree preferred
Job Responsibility
Job Responsibility
  • Delivers on time high quality audit reports, Internal Audit and Regulatory issue validation as well as business monitoring covering 2nd Line of Defense Liquidity Risk and Non-Trading Market Risk (NTMR) function
  • Review and approve the Business Monitoring Quarterly summary and serve as lead reviewer for all reviews
  • Collaborate with teams across the business and determine impact on overall control environment and audit approach
  • Manage audit activities for a component of a product line, function, or legal entity within the Finance Chief Risk Office function
  • Leverage a comprehensive expertise to manage a team
  • Advise the business on change initiatives, while advancing integrated auditing concepts and technology adoption
  • Recommend interventions to issues, propose solutions for risk and control problems, partner with Directors and Managing Directors to develop approaches for broader corporate issues
  • Apply in-depth understanding of Internal Audit standards, policies and regulations to the Finance Chief Risk Office function within Risk
  • Appropriately assess risk when business decisions are made, demonstrating particular consideration for the firm's reputation and safeguarding Citigroup, its clients and assets, by driving compliance with applicable laws, rules and regulations, adhering to Policy, applying sound ethical judgment regarding personal behavior, conduct and business practices, and escalating, managing and reporting control issues with transparency
What we offer
What we offer
  • Equal opportunity employer
  • Accessibility for persons with disabilities
  • Global benefits
  • Fulltime
Read More
Arrow Right

Chief Financial Officer

Our client is a fast-growing global leader in next-generation payment solutions,...
Location
Location
Salary
Salary:
Not provided
onhires.com Logo
OnHires
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 8+ years of financial leadership experience, including at least 3 years as CFO, Deputy CFO, or Head of Treasury
  • Background in fintech, banking, PSP/EMI, crypto payments, or international payment groups
  • Deep expertise in FX, treasury operations, liquidity management, cross-border payments, stablecoins, hedging, and risk management frameworks
  • Proven experience interacting with regulators (FCA, MFSA, FINTRAC, CBM, etc.)
  • Strong analytical, strategic, and systems-building skills — capable of designing financial architecture to scale x10+
  • Fluency in English
  • Ability to operate in a fast-moving, high-growth international environment
Job Responsibility
Job Responsibility
  • Develop and execute the company’s financial strategy, including budgeting, P&L ownership, cash-flow management, and investment planning
  • Manage capital structure (equity, debt, deposits, rolling reserves, hedging instruments)
  • Optimize margins, multi-currency flows, commission structures, and settlement economics (pay-in / pay-out / acquiring / issuing)
  • Build and oversee treasury laddering, daily balances, FX exposures, and liquidity forecasting
  • Supervise allocation of funds, bank transfers, conversions, and hedging strategies
  • Establish a centralized treasury function across multiple international entities
  • Oversee management and regulatory reporting (IFRS/GAAP), audits, and coordination with FCA/MFSA and other supervisory bodies
  • Ensure robust tax planning, transfer pricing, and intercompany flow structuring across jurisdictions
  • Support licensing processes (EMI/PSP) and manage relationships with regulators and banking partners
  • Oversee on/off-ramp flows, custody solutions, stablecoin operations, and their integration into treasury processes
What we offer
What we offer
  • A key role in building a global fintech ecosystem spanning EMI, PSP, crypto payments, and AI-driven finance
  • Direct involvement in company-wide strategy, investment planning, and M&A
  • Equity/stock option program tied to EBITDA growth and valuation multiples
  • International team across Europe, LATAM, and Africa, and a culture built on ownership and entrepreneurship
Read More
Arrow Right
New

Treasury Manager

We are looking for an experienced Treasury Manager to oversee and optimize corpo...
Location
Location
United States , Atlanta
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Proven experience in corporate treasury management with a focus on cash flow optimization
  • Strong knowledge of global treasury operations, including foreign exchange and international cash management
  • Expertise in treasury systems and tools to support financial decision-making
  • Excellent analytical skills with the ability to interpret financial data and trends
  • Strong communication and interpersonal skills to collaborate effectively across teams
  • Knowledge of regulatory requirements and compliance standards in treasury operations
  • Bachelor’s degree in Finance, Accounting, or a related field
  • a certification such as CTP is a plus
  • Ability to thrive in a fast-paced environment and manage multiple priorities effectively
Job Responsibility
Job Responsibility
  • Manage daily cash operations, ensuring liquidity and optimal cash positioning across accounts
  • Develop and implement treasury strategies to enhance financial performance and meet organizational goals
  • Oversee global treasury functions, including foreign exchange risk management and international cash flow
  • Collaborate with various departments to align treasury processes with broader business objectives
  • Maintain relationships with financial institutions and ensure efficient banking operations
  • Monitor and analyze cash forecasts to identify trends and opportunities for improvement
  • Ensure compliance with regulatory requirements and internal policies related to treasury activities
  • Lead initiatives to enhance treasury systems and reporting capabilities
  • Provide insights and recommendations to senior management on treasury matters
  • Conduct regular reviews of treasury policies and procedures to ensure relevance and effectiveness
What we offer
What we offer
  • medical
  • vision
  • dental
  • life and disability insurance
  • company 401(k) plan
Read More
Arrow Right

Treasury Analyst

Location
Location
United States , Davenport
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Prepares the company’s scheduled cash flow forecasts (weekly, 13-week, annual, as needed)
  • proactively lead continuous process improvement efforts to optimize and improve the cash forecasting model on an ongoing basis
  • prepares analyses of various organizational data related to the management of cash to support or make recommendations relating to best practices
  • administer variety of banking and financial applications
  • journal entries and reconciliations related to corporate cash
  • track and manage corporate debt to ensure timely principal and interest payments, as well as subsequent journal entries and reconciliations are documented and complete
  • responsible for ongoing and ad hoc reporting for senior management
  • research, evaluate, and provide analysis related to treasury operations services
  • assist in supporting external and internal audits of treasury and ensuring compliance with all treasury-related controls and policies
  • initiate and manage corporate wires and ACH payments
Job Responsibility
Job Responsibility
  • Prepares the company’s scheduled cash flow forecasts (weekly, 13-week, annual, as needed)
  • proactively lead continuous process improvement efforts to optimize and improve the cash forecasting model
  • prepares analyses of various organizational data
  • administer variety of banking and financial applications
  • track and manage corporate debt
  • ongoing and ad hoc reporting for senior management
  • initiate and manage corporate wires and ACH payments
What we offer
What we offer
  • Access to top jobs
  • competitive compensation
  • free online training
  • medical insurance
  • vision insurance
  • dental insurance
  • life and disability insurance
  • 401(k) plan
  • Fulltime
Read More
Arrow Right

Treasury ALM – Vice President

The BSM NTMR Snr Ld analyst will drive the production needs and lead various wor...
Location
Location
India , Mumbai
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 6-10 years experience in Financial Services, Treasury, and bank global liquidity investment portfolio
  • Excellent Excel and PowerPoint skills for report building and presentations
  • Intermediate knowledge in debt investment securities and non-trading market risk such as FXRBB, commodity risk, private equity risk and CSRBB, QMMF and CCAR for Pensions, ATM/AFS portfolios, etc.
  • Intermediate understanding of regulatory, compliance, risk management and financial management, and data governance concerns
  • Intermediate understanding of Bank ALM, Capital, and Liquidity considerations
  • Intermediate experience in debt investment securities analytics, measurement, metrics and methodologies
  • Demonstrated ability to collaboratively solution complex and dynamic processes
  • Proven ability to work under pressure in ambiguous environments
  • Excellent oral and written communications skills
  • Previous experience interacting and working with Executive Leaders
Job Responsibility
Job Responsibility
  • Be a lead analyst to support to the implementation of and contribute to BSM’s process by providing key analytical insights across BSM functions with a primary focus on asset allocation, FXRBB, OCI stress testing analytics for (CCAR) and QMMF for pensions and AFS /HTM securities, Commodity/Equity/CSRBB risk
  • Provide leadership, market experience, and subject matter expertise for enhancing BSM’s analytics and methodologies and establishing Citi's first-line NTMR management framework (Policy/Standard/Procedures, models, methodologies, reporting, controls, processes, analytics, data and documentation)
  • Be able to build meaningful presentations to display data accurately and timely
  • Use subject matter expertise to aid senior leaders in aligning governance and management framework, procedures and controls for all legal entities that have OCI Risk, FX risk, commodity risk, credit spread risk in the Banking Book
  • Liaise with businesses, legal entity treasury, CTI and Markets Treasury, and Controllers teams to ensure both an understanding and the ability to manage other non-trading market risks
  • Support the team and assist Manager with remediation gap efforts in other non-trading market risk as required by Tier 1 regulations and help to remediate regulatory/audit self-identified issues concerning other non-trading market risks in the banking book and achieve target state framework
  • Interact with 2nd line FinCRO function, regulators, senior management and Non-Traded Market Risk governance committees
  • Provides advice and counsel related to the technology or operations of the business
  • Work impacts an entire area, which eventually affects the overall performance and effectiveness of the sub-function/job family
  • Typically deals with complex and variable issues with substantial potential impact, where development of an approach/taking of an action involves weighing various alternatives and balancing potentially conflicting needs
  • Fulltime
Read More
Arrow Right

Treasury Balance Sheet Management Senior Analyst

Citi Treasury is looking for an experienced analyst to support Treasury activiti...
Location
Location
Hungary , Budapest
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5+ years of experience in an international environment at Treasury and/or Finance functions
  • University BA/MSc degree desirable in the field of Finance or Economics
  • Excellent written and verbal communication skills are imperative
  • Fluent English language skills
  • Critical Thinking: leverage analytics, benchmarking, and insights to generate meaningful solutions, and connecting dots
  • Strong presentation skills coupled with proven PowerPoint and Excel skills
  • Able to deliver results and meet objectives within a defined time frame
  • Ability to take decision and/or escalate when appropriate to deliver results and meet objectives
Job Responsibility
Job Responsibility
  • Take stewardship of the Risk & Control environment
  • Work closely with other treasury members to understand internal and external risk & control requirement, including the support audit or regulatory inspections
  • Take part in the regulatory exercises and being a key member in the control framework of the entities
  • Gain exposure to and learn about balance sheet, liquidity management, interest rate risk and investment activities as well as business products (Markets, Banking, Wealth)
  • Contribute to enhancing processes to manage these exposures in a well governed environment
  • Learn, adopt and advise on procedures to enhance reporting and decision making in a given subject area and integrating with other team members to accomplish these plans
  • Contribute to the liquidity, balance sheet and interest rate risk management of Europe cluster entities
  • Perform other duties and functions as assigned
What we offer
What we offer
  • Cafeteria Program
  • Home Office Allowance (for colleagues working in hybrid work models)
  • Paid Parental Leave Program (maternity and paternity leave)
  • Private Medical Care Program and onsite medical rooms at our offices
  • Pension Plan Contribution to voluntary pension fund
  • Group Life Insurance
  • Employee Assistance Program
  • Access to a wide variety of learning and development programs, online course libraries and upskilling platforms, such as Udemy and Degreed
  • Flexible work arrangements to support you in managing work - life balance
  • Career progression opportunities across geographies and business lines
  • Fulltime
Read More
Arrow Right

Associate, Capital Markets and Formation

Crusoe's mission is to accelerate the abundance of energy and intelligence. We’r...
Location
Location
United States , San Francisco; New York
Salary
Salary:
110000.00 - 170000.00 USD / Year
crusoe.ai Logo
Crusoe
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5+ years of professional experience gained at a large investment bank, commercial bank, or a highly active corporate treasury/capital markets group
  • Direct experience in Debt Capital Markets (DCM), Equity Capital Markets (ECM), Leveraged Finance, Structured Finance, or Commercial/Corporate Banking is highly preferred
  • Proven track record of managing and contributing to the execution of complex financing transactions
  • Exceptional financial modeling and quantitative analysis skills
  • expertise in MS Excel is mandatory
  • Demonstrated relationship management skills and professional demeanor
  • Superior presentation and communication skills (both written and verbal)
  • A high degree of intellectual curiosity, adaptability, and the ability to thrive in a fast-paced, high-growth environment
  • Bachelor's degree in Finance, Economics, Accounting, or a related quantitative field
Job Responsibility
Job Responsibility
  • Capital Formation & Transaction Execution
  • Financing Strategy: Support the development and execution of the company's capital strategy
  • Transaction Lead: Act as a key execution team member on new debt and equity issuances
  • Financial Modeling: Build, maintain, and stress-test complex financial models
  • Market Intelligence: Monitor global debt and equity capital markets
  • Relationship Management & Investor Relations
  • Create and maintain key relationships across the banking and buy-side community
  • Lender and Investor Relationship Management: Cultivate and maintain strong relationships
  • External Representation: Prepare high-quality, professional marketing materials
  • Negotiation Support: Assist senior management in term sheet negotiations
What we offer
What we offer
  • Restricted Stock Units
  • Health insurance package options that include HDHP and PPO, vision, and dental for you and your dependents
  • Employer contributions to HSA accounts
  • Paid Parental Leave
  • Paid life insurance, short-term and long-term disability
  • Teladoc
  • 401(k) with a 100% match up to 4% of salary
  • Generous paid time off and holiday schedule
  • Cell phone reimbursement
  • Tuition reimbursement
  • Fulltime
Read More
Arrow Right