Help shape the future of Amazon! Amazon seeks a Senior Treasury Analyst to join the Treasury Control Team, which oversees M&A Integrations, Exposure Management, and Middle Office treasury activities. The primary focus of this role is M&A Treasury integrations, which includes developing banking strategies for new subsidiaries, onboarding new subsidiaries into Amazon's overall cash management infrastructure, and instituting rigorous controls over cash and financial account access. This role requires extensive cross-functional collaboration both within Treasury and across Amazon's broad and diverse landscape of businesses and support functions.
This position requires a self-starter who collaborates well with internal and external stakeholders, manages bank relationships, and drives business growth in different geographies all while working hard, having fun, and making history. He or she should possess solid business judgment, be capable of driving the right results, and be able to pay attention to details as well as 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, Product/Platform, and external banking partners. This role requires excellent communication and organization skills, including the ability to anticipate, identify, and communicate risks and recommendations to Treasury and business leadership.
Lead Treasury diligence efforts on proposed M&A projects. Communicate and document key risks and mitigation alternatives.
Drive Treasury requirements for acquisition targets to deliver the most cost effective, scalable, and secure banking services.
Manage funding, both domestic and international, for acquisitions and investments with a wide range of complexity and tight timelines.
Develop strategic relationships with your business partners to help influence the right decisions.
Dive deep, take the lead, and drive process improvements throughout the team and the greater Treasury organization.
Implement strong controls on Amazon's cash, develop robust mechanisms for ensuring control adherence, and be a strong proponent for banking controls globally.
Design reporting packages related to project status, banking partner SLAs, and KPI metrics that provide detailed visibility into your projects.
Ensure compliance with Treasury guidelines and policies including Banking Authority, Investments, and Foreign Exchange.
Manage processes for contract negotiation between Amazon legal and our banking partners.
Provide backup to Treasury Control's Exposure Management and Middle Office functions.