Treasury Manager, Treasury Strategy and Markets
- Pubblicato il 10/05/2026
- Trento (TN)
- Da definire
Descrizione:
Treasury Manager, Treasury Strategy and Markets
Job ID: 10387995 | Amazon.com Services LLC
Amazon is seeking a Treasury Manager to join the Treasury Strategy and Markets (TSM) team. The TSM team oversees Amazon’s capital structure, including raising capital from lenders and distributing capital to shareholders, as well as managing Amazon’s investment portfolio and FX exposure. The primary focus of this role is to help with forecasting liquidity, raising capital, and providing senior executive insights through high‑caliber reporting. In addition, this role will help with project‑specific support covering financing structures (bonds, commercial paper, leases, working capital arrangements, etc.), capital return programs (share repurchases and dividends), strategic planning (liquidity, leverage, and optimizing capital structure), and relationship management (rating agencies, banking partners, and cross‑functional teams). The role will be heavily relied upon across the team and offers ample opportunity for growth and development.
This position requires a self‑starter who collaborates well with internal and external stakeholders, is comfortable with ambiguity, and can balance multiple priorities in a fast‑paced environment. The candidate should possess the ability to influence teams and help drive collaboration among multiple stakeholders. Excellent communication and organization skills are essential, as is the ability to identify, communicate risks, and recommend solutions to finance leadership. The ideal candidate should have a proven track record of dealing with complexity and finance experience at a multinational corporation or financial institution.
Key Job Responsibilities
Build analytical financial models to evaluate capital structure decisions, including financing, liquidity planning, contingency planning, and return of capital.
Contribute to financing initiatives, including bond issuance strategy, revolving credit facility structures, working capital solutions, and liability management activities.
Partner with finance teams to understand business results and help drive capital structure planning.
Manage executive‑level monthly and quarterly reviews of free cash flow, liquidity, funding needs, and rating agency considerations.
Contribute to capital return activities, such as share repurchases and dividend programs.
Work with banking partners to implement financing structures and shareholder return programs.
Assist in managing relationships with credit rating agencies and debt/equity capital markets banking partners.
Deliver high‑caliber reporting for senior leadership while driving automation initiatives with a high degree of autonomy.
Basic Qualifications
5+ years of tax, finance or a related analytical field experience
Bachelor’s degree in finance, accounting, business, economics, or a related analytical field (e.g., engineering, math, computer science)
Or a Bachelor's degree and 5+ years of quantitative role experience (engineering, process re‑engineering, quality assurance)
Preferred Qualifications
MBA or CFA
Experience building and managing financial models for business forecasting and problem solving
Advanced Excel skills
Ability to prioritize and handle multiple assignments while meeting deadlines
Experience in the financial services industry
Experience in debt and/or equity capital markets
Previous Treasury experience in a multinational company
Base salary range: 104,900.00 – 179,500.00 USD annually (USA, NY, New York)
Posted: May 8, 2026 (Updated about 4 hours ago)
Amazon is an equal opportunity employer and does not discriminate on the basis of protected veteran status, disability, or other legally protected status.
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