Treasury Analyst 2

Job Info

At Intuitive, we believe that minimally invasive care is life-enhancing care. Through ingenuity and intelligent technology, we expand the potential of physicians to heal without constraints. Our mission is our guiding force; our culture is the DNA that makes us unique.  

As a pioneer in robotic-assisted surgery (RAS), we have been expanding our innovations through technology to help make a difference in the world. For 25 years, human ingenuity has guided our journey to help solve some of healthcare’s complex challenges.

We believe a great idea can come from anywhere—inclusion and mutual respect are vital to our culture. We value character grounded in integrity, a strong capacity to learn, the energy to get things done, and diverse experiences to help us think in new ways. We actively invest in our team members to support their long-term growth so they can continue to advance our mission and strive to achieve their highest potential. 

Join a team committed to taking big leaps forward for a global community of healthcare professionals and their patients. Together, let’s help to advance the world of minimally invasive care.

What we’re looking for:

The Treasury Analyst will be a key member of the corporate treasury team and is responsible for supporting a broad range of treasury activities, including treasury operations, cash management, investments, foreign exchange (FX) risk management, financial & operational reporting, banking relationships, global insurance, capital structure and financial operations at the nonprofit foundation.  This exciting role will report to the Senior Treasury Manager, who reports to the Treasurer, and work closely with other Treasury managers and analysts.

The successful candidate will work closely with groups across the finance organization including Controllership, FP&A, Tax, Legal and Facilities, as well as external parties such as bank counterparties, investment managers and insurance brokers.  Also, this position will help the corporate treasury team achieve objectives of improving transparency, reducing transaction costs, increase cash efficiency and forecast accuracy, and enhance capital allocation decisions for management.

This position will impact a rapidly growing organization and offers career development opportunities for the right candidate.

Primary responsibilities include:

Treasury Operations:

  • Support the preparation of month-end close reporting activities on other income & expenses, foreign exchange, cash, investments, and equity
  • Support the preparation of the operational scorecard, financial market dashboard, and other reporting & analyses for senior management, with an emphasis on data visualization via Tableau
  • Support treasury technology initiatives and projects to achieve best-in-class processes
  • Support the preparation of contemporaneous FX hedging documentation, insurance accruals, investments, share repurchase and other journal entries, as needed
  • Implement controls and maintain compliance with regulations, SOX and other policy that pertain to Treasury, respond to external auditor inquiries

Cash Management & Investment:

  • Support the Cash & Investment Manager to forecast and consolidate global cash positions, manage daily liquidity, execute manual payments, invest excess cash, manage inter-company transactions, and monitor investment compliance
  • Support the maintenance of bank accounts, banking relationships, user access, authorizations & limits;
  • Develop framework, analysis, reporting and monitoring of global bank fees
  • Support quarterly investment manager review and investment reporting package

Foreign Exchange Risk Management:

  • Support the FX Manager in implementing FX risk management programs, including balance sheet and cash flow hedging, trade execution, reporting, budget rates, FX rate table maintenance and counterparty trade analysis

Global Insurance:

  • Support the Global Risk Manager and the insurance process including insurance budgeting, premium payment, certificates of insurance, investigating claims, and reporting & analysis
  • Support the global insurance renewal process

Capital Structure

  • Provide analytical support as needed on capital structure, including internal valuation, debt vs equity, and capital allocation decisions


  • Support financial operations at the Intuitive Foundation, including verifying payment information, executing payments, preparing for quarterly board meetings, supporting audit and tax filing, and financial analyses
  • Manage the day-to-day finances of the Political Action Committee.  Prepare quarterly filings, reconcile the bank account, and post updated financial information to the intranet.
  • Provide support analytics for stock compensation planning


Basic qualifications:

  • Minimum 1-3 years of treasury, finance or accounting experience with a publicly-traded, multinational company
  • Minimum Bachelor’s degree in Accounting, Finance, Economics or related discipline.
  • Ability to cultivate cross functional relationships and communicate effectively with management and business partners
  • Strong skills in Excel, financial modeling, ability to work with large volumes of transactional data, and reporting analysis via Tableau.
  • Proficiency in finance and treasury accounting

Preferred qualifications:

  • MBA or other advance Finance degree
  • Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) designation
  • Experience with Treasury software, including FXAll, HedgeTrackers Capella, Clearwater, Bloomberg and SaaS treasury workstations

Intuitive is an Equal Employment Opportunity Employer. We provide equal employment opportunities to all qualified applicants and employees, and prohibit discrimination and harassment of any type, without regard to race, sex, pregnancy, sexual orientation, gender identity, national origin, color, age, religion, protected veteran or disability status, genetic information or any other status protected under federal, state, or local applicable laws.  

We will consider for employment qualified applicants with arrest and conviction records in accordance with fair chance laws.  

Shift : Shift 1 - Day

Travel : Yes, 10 % of the Time

Travel Requirements: Yes, 10 % of the Time Shift: Shift 1 - Day

More Manufacturing and Production jobs

Mueller Water Products
Aurora, Illinois
Posted less than a minute ago

Mueller Water Products
Atlanta, Georgia
Posted less than a minute ago

Mueller Water Products
Atlanta, Georgia
Posted less than a minute ago

Job Alerts

Provide an email, zip code for jobs, and/or job category to subscribe to job alerts. Learn more now.

*By subscribing, you agree to our Terms and Privacy Policy.

Share this job with the community

Click a community link below, and then social share the Treasury Analyst 2 job.

African American Job Search Logo
Asian Job Search Logo
Disabled Job Seekers Logo
Hispanic Job Exchange Logo
LGBT Job Search Logo
Seniors to Work Logo
US Diversity Job Search Logo
Veteran Job Center Logo