Join Amazon and build the future with us on the Treasury Business Operations - Americas team which supports daily liquidity for US, Canada, and LATAM. The team also manages the intercompany funding process for 50+ countries, the monthly intercompany netting cycle, FX settlements, bank fees, credit support, cash forecasting and advanced cash metrics and analytics.
This position requires a self-starter who can collaborate well with internal and external stakeholders, manage bank relationships, and drive business growth in different geographies all while working hard, having fun, and making history! This person should possess solid business judgment, be capable of driving the right results, and be able to dive deep into data. He or she should also possess the ability to influence teams with competing priorities, and to work cross-functionally with Business, Finance, Accounting, Tax, Shared Services, Machine Learning and external banking partners.
As a member of the Treasury Business Operations Americas team, you will design reporting and analytics that will support daily liquidity decisions. This role also requires you to work with our FX, Middle Office and Investment teams on daily trade settlements.