Boston Scientific
Marlborough, MA

CONTACT: click here

We are currently seeking a Senior Analyst to assist in the management our global currency risks across more than 40 currency markets.

The successful candidate will join a Treasury team with a strong and fast-paced culture of excellence, innovation and talent development.  We seek a results and detail-oriented team player who is passionate about leveraging finance skills, technology and lean business concepts to drive process improvements and create value.  The successful candidate will bring a solid treasury risk management experience and demonstrated continuous improvement mindset with high quality results.



  • Monitor company activities and currency markets for opportunities to adjust hedge coverage
  • Recommend hedging strategies to protect earnings and cash flow exposure to currency risks
  • Execute hedge transactions with global banking partners (annual transaction in excess of $12B)
  • Provide business units with guidance on strategies to reduce currency risk and achieve liquidity objectives
  • Participate in financial risk management performance reviews with senior management
  • Monitor and implement changes to financial regulation (Dodd-Frank, EMIR, etc..)
  • Use technology and lean business techniques to increase the effectiveness and efficiency of our risk management processes
  • Coordinate with cross-functional teams (tax, accounting, legal and divisional finance) to ensure proper planning and execution of hedging strategies
  • Participate in global cross functional teams to implement change initiatives
  • Ensure a high standard of controls for the currency risk management program
  • Maintain effective relationships with internal customers and banking partners
  • Establish and promote a work environment that supports the Quality Policy and Quality System



Basic qualifications:

  • Solid understanding of currency risk management strategies, derivative accounting requirements, treasury systems, tax planning strategies, and policies and procedures for a global organization
  • BS degree in Finance or Accounting
  • 3- 5 years of relevant Finance or Treasury experience in a global organization, including currency risk management
  • Proven ability to leverage technology
  • Strong analytic, creativity, organization and project management skills
  • Excellent communication skills (verbal and written)
  • Proficiency with Excel, Word, PowerPoint , Treasury Workstations

Preferred qualifications:

  • MS Visio, SAP, Bloomberg or Hyperion a plus
  • Experience participating in global cross functional teams to implement process and transformational change initiatives
  • Knowledge of lean business concepts and practical applications
  • MBA
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