Job Description
At Jacobs, we turn ideas into solutions—designing a better future today. As Senior Financial Analyst, Treasury, you will play a critical role in managing liquidity, capital structure, and financial risk across a global enterprise. This position offers broad exposure to international treasury operations, FP&A forecasting, debt capital markets, foreign exchange, and compliance, with visibility to senior leadership and direct impact on enterprise decision-making.
This role is ideal for a finance professional with strong analytical fundamentals who is eager to deepen treasury expertise, broaden business /financial acumen, and grow within a complex, global organization.
Please find the details of some of your role responsibilities below.
Cash & Liquidity Management
* Deliver weekly cash flow analysis and real-time liquidity updates to executive leadership.
* Align short- and medium-term cash forecasts with FP&A operating forecasts to improve accuracy, timing visib...