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Reporting to the Senior Treasury Manager, this position will support across the Treasury function, including critical treasury operations, FX back office and M&A integration workstreams. This role will require someone with multi-national corporate treasury experience who is highly technical, hands-on, detail oriented, with strong organizational and communication skills. The ideal candidate would be someone knowledgeable across all aspects of corporate treasury function. This role is based in the San Rafael offices of BioMarin, on a hybrid basis.
Job Responsibility:
Maintain a best in class worldwide banking infrastructure. Collaborate with the International Treasury team to align banking goals and strategies
Ensure high levels of service are provided to corporate business partners and opportunities for efficiencies are identified and evaluated
Support best-in-class initiatives around fraud prevention, risk mitigation, straight through processing, governance and global liquidity management
Support regulatory compliance, including FBAR and KYC
Engage and learn the Company’s SAP MBC treasury workstation, including the Cash Flow Analyzer, payments processes and any new modules
Adheres to standards and procedures for project reporting and documentation
Performs other related duties as required
Support the company’s short-term liquidity forecast utilizing bank systems and SAP
Maintain a strong daily cash positioning template. Create and release EFTs as appropriate
Support the FX Back Office, including wire settlements
Monitor intercompany balances, help plan and manage intercompany trade and loan settlements
Monitor Treasury operational policies, oversee SOX compliance and support internal and external audit requirements
Requirements:
Strong understanding of treasury operations, corporate banking practices
Experience using treasury workstations (SAP-preferred), risk management systems (FXall, CapellaFX, Clearwater) and various bank and investment portals (CitiDirect, BOA CashPro, JPM Morgan Money)