Treasury Analyst — Hybrid Cash, FX & Banking Ops
Listed on 2026-10-07
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Finance & Banking
Banking & Finance, Banking Operations, Risk Manager/Analyst, Corporate Finance
Teradyne in North Reading, MA seeks a Treasury Analyst to manage the US daily cash position, payments, FX hedges, and treasury controls. The role partners with banking providers and internal teams to ensure efficient cash management and regulatory reporting.
The successful candidate will have 2+ years in treasury, strong Excel skills, and the ability to prioritize in a fast-paced environment, with a hybrid work arrangement requiring three days in the North Reading office weekly.
The following opportunity is for a Treasury Analyst — Hybrid Cash, FX & Banking Ops with Teradyne.
Join us at Teradyne as our next Treasury Analyst — Hybrid Cash, FX & Banking Ops in Reading, MA, United States.
We are currently recruiting a Treasury Analyst — Hybrid Cash, FX & Banking Ops for our team in Reading, MA, United States.
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