Sr Finance Analyst

Posted One Month Ago
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Charlotte, NC, USA
Hybrid
Senior level
Aerospace
The Role
Supports global corporate treasury activities, including FX hedging, intercompany funding, net investment hedging, banking relationships, liquidity management, treasury systems, reporting, forecasting, and compliance. Partners with Finance, Accounting, Tax, and business teams to manage financial risks, optimize liquidity, maintain controls, and improve treasury processes.
Summary Generated by Built In

The Senior Finance Analyst, Corporate Treasury supports the company's global treasury activities, including foreign exchange (FX) risk management, intercompany funding, net investment hedging, banking relationships, and treasury systems. This role partners with Finance, Accounting, Tax, and business teams to manage financial risks, optimize liquidity, and support strategic treasury initiatives.

You will work out of the Charlotte, NC office on a hybrid schedule.

Responsibilities
  • Execute and manage FX hedging activities to mitigate currency risk
  • Administer intercompany loan programs, including funding, settlements, and compliance
  • Support net investment hedging strategies and related hedge accounting requirements
  • Maintain relationships with banking partners and assist with cash management and banking services
  • Support treasury management systems, reporting, and process improvement initiatives
  • Support cash flows, liquidity positions, and financial exposures to support decision-making
  • Prepare treasury reports, forecasts, and presentations for management
  • Ensure compliance with treasury policies, internal controls, and regulatory requirements
Qualifications

You Must Have

  • At least 3 years of experience in Corporate Treasury, Finance/Financial Risk Management or Corporate Accounting
  • Experience with FX markets, hedging instruments, and treasury operations
  • Experience with intercompany funding and banking relationships
  • Advanced Excel and financial analysis skills
  • Experience with treasury management systems and ERP platforms preferred
  • Strong analytical, communication, and problem-solving abilities

We Value

  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Certified Treasury Professional (CTP), CFA, MBA, or similar credential
  • Experience supporting hedge accounting and multinational treasury operations
  • This role offers the opportunity to contribute to a dynamic global treasury function while gaining exposure to financial markets, risk management, and strategic financing activities

In addition to a competitive salary, leading-edge work, and developing solutions side-by-side with dedicated experts in their fields, Honeywell employees are eligible for a comprehensive benefits package. This package includes employer subsidized Medical, Dental, Vision, and Life Insurance; Short-Term and Long-Term Disability; 401(k) match, Flexible Spending Accounts, Health Savings Accounts, EAP, and Educational Assistance; Parental Leave, Paid Time Off (for vacation, personal business, sick time, and parental leave), and 12 Paid Holidays. For more information visit: https://benefits.honeywell.com/


The application period for the job is estimated to be 40 days from the job posting date; however, this may be shortened or extended depending on business needs and the availability of qualified candidates. Job Posting Date: August 24, 2026.


Due to compliance with U.S. export control laws and regulations, candidate must be a U.S. citizen, U.S. permanent resident, or have asylum or refugee status in the U.S.

About UsHoneywell Technologies is a global, pure-play automation company with a legacy of innovating to help solve the world’s most mission-critical challenges, enhancing the quality of life for people and communities around the world. We serve the building, industrial and process sectors with a broad portfolio of services, solutions and products, underpinned by our Honeywell Technologies Accelerator operating system and Honeywell Technologies Forge intelligence layer. By combining the deep domain expertise of our more than 50,000 employees with decades of data from our global installed base, we are uniquely positioned to lead the industrial sector’s transition from automation to autonomy.

Skills Required

  • At least 3 years of experience in Corporate Treasury, Finance or Financial Risk Management, or Corporate Accounting
  • Experience with FX markets, hedging instruments, and treasury operations
  • Experience with intercompany funding and banking relationships
  • Advanced Excel and financial analysis skills
  • Experience with treasury management systems and ERP platforms
  • Strong analytical, communication, and problem-solving abilities
  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • Certified Treasury Professional, CFA, MBA, or similar credential
  • Experience supporting hedge accounting and multinational treasury operations
  • Must be a U.S. citizen, U.S. permanent resident, or have asylum or refugee status in the U.S.
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The Company
Mississauga, Ontario
10,000 Employees
Year Founded: 1914

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