At Air Products, our purpose is to bring people together to reimagine what’s possible, collaborate and innovate solutions to the world’s most significant energy and environmental sustainability challenges. Grow with us as we embark on building tomorrow together by being the safest, most diverse and most profitable industrial gas company in the world. Reimagine What’s Possible This position supports Global Treasury Operations by developing and applying a broad understanding of cash management, foreign currency and interest rate risk management, debt capital markets, and trade finance. The role includes rotational assignments across Treasury Operations functions to build enterprise-wide capability and supplies to cross-functional initiatives passionate about process improvement, technology enablement, and SAP S/4HANA implementation. The role provides analytical review and hands-on execution of financial risk management activities, ensures compliance with regulatory and internal control requirements, and supports oversight of treasury systems. A successful candidate gains broad and detailed working knowledge of Treasury Operations processes and the financial theories and governance policies that drive these processes.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Mid Level