Maxeon Solar Technologies is a global leader in solar innovation. Built from 35 years of boundary-pushing solar innovation, Maxeon designs, manufactures, and sells industry leading SunPower branded solar products. Maxeon is Powering Positive Change TM every day with a brilliant, passionate and driven team of more than 5,000 people globally.
We hold ourselves to a higher standard, striving for the highest integrity, safety, and quality. We thrive together as a global team, embracing our diverse backgrounds to make a positive impact on the world.
Join us in POWERING POSITIVE CHANGETM
Job Responsibilities:
Directly reporting to Manager, Treasury
Ensure that the business maintains enough liquidity and support global cash management activities
Prepare funds transfer request and monitor banking transactions
Provide operational support in all daily Treasury related activities
Analyze and propose for group hedging strategies on currency, commodity, and interest rate - balance sheet and cash flow hedging
Assist in Foreign Exchange conversion, confirmation, settlement, and facilities requirements
Support the onboarding of new banks, ensure opening, maintenance, monitoring and closing of bank accounts
Oversee internal controls/SOX audits
Prepare daily/weekly/monthly cash position reports
Analyze monthly intercompany loan reporting for group
Review, develop and automate existing operational procedures to support overall company policies and objectives
Assist with the implementation of new banking structure and other projects as needed
Other duties as assigned
Minimum Education and Experience:
Bachelor or similar degree in Finance or Business Administration, further professional qualification would be a plus
At least 3 years relevant treasury or finance experience, preferably in MNC or Bank
Experience in FX Spot, Forward, Swaps, NDF and Options
Experience and knowledge of Treasury System and Treasury accounting will be an asset
Strong team player with positive attitude & good communication skills
Ability to excel in a fast-paced environment
Strong attention to detail and work ethic
OR equivalent combination of education and years of related experience
Maxeon
We hold ourselves to a higher standard, striving for the highest integrity, safety, and quality. We thrive together as a global team, embracing our diverse backgrounds to make a positive impact on the world.
Join us in POWERING POSITIVE CHANGETM
Job Responsibilities:
Directly reporting to Manager, Treasury
Ensure that the business maintains enough liquidity and support global cash management activities
Prepare funds transfer request and monitor banking transactions
Provide operational support in all daily Treasury related activities
Analyze and propose for group hedging strategies on currency, commodity, and interest rate - balance sheet and cash flow hedging
Assist in Foreign Exchange conversion, confirmation, settlement, and facilities requirements
Support the onboarding of new banks, ensure opening, maintenance, monitoring and closing of bank accounts
Oversee internal controls/SOX audits
Prepare daily/weekly/monthly cash position reports
Analyze monthly intercompany loan reporting for group
Review, develop and automate existing operational procedures to support overall company policies and objectives
Assist with the implementation of new banking structure and other projects as needed
Other duties as assigned
Minimum Education and Experience:
Bachelor or similar degree in Finance or Business Administration, further professional qualification would be a plus
At least 3 years relevant treasury or finance experience, preferably in MNC or Bank
Experience in FX Spot, Forward, Swaps, NDF and Options
Experience and knowledge of Treasury System and Treasury accounting will be an asset
Strong team player with positive attitude & good communication skills
Ability to excel in a fast-paced environment
Strong attention to detail and work ethic
OR equivalent combination of education and years of related experience
Maxeon
Other Info
Biñán, Laguna
Permanent
Full-time
Permanent
Full-time
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