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Finance & Accounting 🏢 Full Time ⭐️ Terverifikasi

Senior Treasury Analyst - Strategic Financial Operations

onsemi
Bali, Indonesia
Salary Estimate
Rp 300.000.000 – Rp 500.000.000
Live Update
5 Juli 2026
Deadline
5 Jul 2027

job description

Join onsemi as a Senior Treasury Analyst in our vibrant Bali office, where you’ll play a pivotal role in optimizing financial strategies and driving operational excellence. This is a unique opportunity to contribute to a global leader in semiconductor solutions while enjoying the dynamic work-life balance Bali offers.

As part of our Treasury team, you will analyze financial data, manage liquidity, and ensure compliance with international standards. Your expertise will directly impact our ability to mitigate risks, forecast cash flow, and support strategic decision-making. Ideal for a detail-oriented professional with a passion for finance and a knack for problem-solving.

At onsemi, we foster innovation, collaboration, and growth. If you’re ready to elevate your career in a fast-paced, rewarding environment, we’d love to hear from you.

Responsibility

  • Develop and implement cash management strategies to optimize liquidity and minimize financial risk.
  • Monitor and forecast daily cash positions, ensuring accurate and timely reporting.
  • Analyze financial markets and trends to provide actionable insights for investment and borrowing decisions.
  • Collaborate with cross-functional teams to align treasury operations with corporate financial goals.
  • Manage banking relationships and negotiate terms to enhance operational efficiency.
  • Ensure compliance with local and international financial regulations, including tax and reporting requirements.
  • Prepare and present financial reports, dashboards, and recommendations to senior management.
  • Lead process improvements and automation initiatives to streamline treasury operations.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field; CPA, CFA, or CTP certification is a plus.
  • Minimum 5 years of experience in treasury, corporate finance, or financial analysis, preferably in a multinational environment.
  • Proficient in financial modeling, forecasting, and risk management tools.
  • Strong analytical skills with advanced expertise in Excel and treasury management systems (e.g., SAP, Oracle).
  • In-depth knowledge of cash management, FX hedging, and debt/equity markets.
  • Excellent communication and stakeholder management skills.
  • Ability to thrive in a fast-paced, deadline-driven environment.
  • Fluency in English; additional languages are a plus.

Required Skills

Financial Analysis Treasury Management Cash Flow Forecasting Risk Management Financial Modeling SAP Oracle Excel FX Hedging Stakeholder Management Compliance Reporting

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