.**A Place Where People Matter - Growing our People to Grow Our Business**We're thrilled that you are exploring career opportunities where you can continue to make a positive difference every day to **keep our communities healthy, fed, clean and safe.****Primary Purpose**: The Senior Analyst, Treasury will play a key role in supporting the company's corporate Treasury function as it relates to cash management, foreign exchange, liquidity management, cash flow forecasting, debt activities and bank relationships globally.**What you will do**:- Handle and support the day-to-day cash management operations and help optimize short-term and long-term cash forecasting process- Manage, update, and maintain the company's treasury management workstation (TMS)- Act as administrator for access and credentials on various banking platforms and treasury systems- Process wire payments with high level of accuracy and in alignment with corporate policies- Manage and facilitate letters of credit/guarantee issuances, amendments, and cancellations- Work with regional finance teams understand and develop management plan for foreign currency exposure- Manage intercompany loans, letters of credit and guarantees including monthly reconciliation and reporting- Support Treasury aspects of M&A and divestitures in the LATAM region- Review and analyze bank fees for accuracy and alignment with master agreements- Review and monitor cash positions and recommend actions for optimizing cash use- Assist with contractual transfer and recommend specific contractual language to transfer risk to other parties- Review new products and projects the company may be interested in undertaking and analyze potential risk exposures to the company and appropriately mitigate- Prepare and update bank account documentation**What you will need**:- Bachelor's degree in Finance or Accounting, and/or equivalent work experience- Minimum of 3-5 years of treasury or financial experience with a multinational company- Experience in managing the treasury function as well as experience in treasury accounting including FX, liquidity, cash flow and various financial instruments- Experience with Treasury Management Workstations (implementations is a plus)- Experience working with ERP systems and various finance management software- Proficient in Excel and PowerPoint- Analytical problem-solving and decision-making skills, with the ability to translate complex financial data into insights.- Bilingual in English and Spanish- Effective communication, systems proficiency, change adaptability, flexibility, business partnership and collaboration, and risk management.- Ability to collaborate with global, cross-functional teams**It takes people like you** and a global network of more than 10,000 employees **to build a company where the best people want to work.**As a valued Univar Solutions employee, you understand that we are more than a distribution company