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Huntsman

Treasury Analyst

Luxembourg - Luxembourg

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hirly's read of this role

Role family
Finance
Seniority
Mid level
Country
LU
Work mode
On-site / unstated
First seen by hirly
13 Sept 2026

Derived automatically from the posting. Upload your resume above to see how the role scores against it.

the posting

Job Description :

Role Overview:

We are looking for a Treasury Analyst to join our EAME Treasury team based in Luxembourg. This position is full-time and reports to our Treasury Manager.

Our EAME team is responsible not only for the region’s treasury operations, but also for certain centralized activities. As a Treasury Analyst, you will help optimize our banking structure, manage short-term cash forecasting, oversee our global intercompany settlement and cash pooling processes, prepare reports on our securitization facilities, and support currency hedging activities. You will also learn to use Kyriba, our Treasury Management System, in your day-to-day work.

In addition, you will also provide support in daily payments, cash forecast, bank guarantee issuance, borrowing and repayment of our debt, and other treasury activities.

Do you think you are the right fit for this opportunity? Apply today!

Role Responsibilities:

As a Treasury Analyst, you will be responsible for:

  • Support daily cash management activities, cash positioning and processing treasury payments.
  • Assist with periodic cash forecasting and hedging activities, including FX trading, analysis, and reconciliation.
  • Support the management of intercompany loan programs, including setting interest rates and interest calculations.
  • Assist in managing our bank accounts in the EAME region. This includes updating bank mandates, opening and closing of bank accounts, tracking bank fees.
  • Assist with preparing securitization reports and analysis.
  • Liaising with internal and external counterparts regarding treasury matters.
  • Acting as admin for treasury systems, online banking and trading platform.
  • Participating and developing treasury manuals and policies.
  • Support ad hoc tasks as necessary.

Experience and Competencies:

What we are looking for:

  • University degree in finance or relevant business degree.
  • 2+ years of relevant professional experience in finance and/ or corporate treasury.
  • Working knowledge of FX products and debt instruments is an advantage .
  • Experience with TMS, especially Kyriba, is a plus.
  • Flexible, team player with a can-do/positive attitude.
  • Details oriented and analytical. Solid problem-solving skills.
  • Able to work independently.
  • Excellent communication skills and ability to effectively interact with various internal and external parties at various levels.

About us:

Huntsman Corporation is a publicly traded global manufacturer and marketer of differentiated and specialty chemicals with 2022 revenues of approximately $8 billion from our continuing operations. Our chemical products number in the thousands and are sold worldwide to manufacturers serving a broad and diverse range of consumer and industrial end markets. We operate more than 60 manufacturing, R&D and operations facilities in approximately 30 countries and employ approximately 7,000 associates within our continuing operations. For more information about Huntsman, please visit the company's website at www.huntsman.com.

Additional Locations:

Original posting on Huntsman's site ↗

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