The Senior Treasury Analyst supports Magna’s European Corporate Treasury team in managing cash, liquidity, and foreign exchange activities across multiple regions. The position focuses on short-term funding, commercial paper management, and supporting treasury optimization projects. It requires solid analytical skills, accuracy, and experience with international treasury operations.
Key Responsibilities
●        Manage regional liquidity planning and cash forecasts on a daily and monthly basis
●        Execute and monitor foreign exchange transactions and hedging programs
●        Support commercial paper issuance and short-term investment processes
●        Assist in preparing monthly treasury reports and quarterly funding strategies 
●        Collaborate with Group Treasury, tax, audit, and legal functions to ensure compliance
●        Participate in ongoing treasury process improvement and automation initiatives
Requirements
Must have
●        Master’s degree in finance, accounting, or economics
●        Minimum 4 years of professional experience in treasury, finance, or audit within a multinational environment
●        Hands-on experience with foreign exchange, liquidity management, and short-term funding operations
●        Proficiency in MS Office (including Power BI)
●        Experience working with treasury systems such as 360T, FIS Integrity, and OneStream
●        Strong analytical and numerical skills with attention to detail
●        Fluent in English (spoken and written)
●        Good Knowledge of Mandarin or Cantonese
Preferred
●        Familiarity with Chatham Financial and  Finastra matching system
●        Understanding of SQL or programming for treasury reporting automation
●        Professional qualification such as CPA or equivalent