Senior Treasury Analyst - Foreign Exchange (FX) & Hedging
McDermott International
Job Overview:The Senior Hedge Accountant is responsible for supporting the Company's global foreign exchange risk management program, executing and administering hedging strategies, monitoring currency exposures, and ensuring compliance with treasury policies and accounting requirements. The role partners closely with business units, accounting, FP&A, tax, and regional finance teams to identify, quantify, manage, and report foreign exchange risks. The position plays a critical role in protecting the organization from adverse currency movements through the use of financial derivatives and natural hedging strategies while supporting cash flow forecasting, hedge accounting, and treasury technology initiatives. Our ingenuity fuels daily life. Together, we’ve forged some of the most trusted partnerships across the energy value chain to make what was once just an idea a reality: laying subsea infrastructure thousands of feet below sea level, installing platforms hundreds of miles from shore, using our expertise to design and build offshore wind infrastructure, and reshaping the onshore landscape to deliver the energy products the world needs safely and sustainably. For more than 100 years, we've been making the impossible possible. Today, we're driving the energy transition with more than 30,000 of the brightest minds across 54 countries. Essential Qualifications and Education:Education• Bachelor’s degree in accounting, Finance, or related field• CPA preferred• MBA, CFA, or CTP is a plusExperience• 5+ years of accounting, treasury accounting, or hedge accounting experience• Strong knowledge of ASC 815 and/or IFRS 9• Experience with derivative instruments such as: o FX forwards and optionso Interest rate swapso Commodity hedgeso Cross-currency swaps• Experience supporting external audits• Experience with ERP and Treasury Management Systems (e.g., SAP, Oracle, Quantum, Kyriba)Technical Skills• Advanced Excel skills• Strong financial reporting capabilities• Knowledge of Treasury and risk management operations• Ability to interpret complex accounting guidance#LI-CA1 #LI-DNI Key Tasks and Responsibilities:• Manage all hedge accounting activities for cash flow hedges, fair value hedges, and net investment hedges• Prepare and maintain hedge designation documentation and effectiveness testing• Ensure compliance with ASC 815 and company accounting policies• Record monthly and quarterly hedge accounting journal entries• Prepare hedge-related disclosures for financial statements and SEC filings• Maintain supporting documentation for internal and external audits• Review FX forwards, swaps, options, interest rate swaps, and commodity hedges• Provide accounting guidance on proposed hedging strategies• Analyze the accounting implications of new treasury products and risk management initiatives Controls & Compliance• Develop and maintain SOX-compliant controls over derivative accounting processes• Coordinate with Internal Audit and external auditors• Ensure timely completion of reconciliations and control activities• Monitor changes in accounting standards and regulatory requirementsAnalysis & Reporting• Produce monthly hedge accounting reports and variance analyses• Explain OCI, hedge ineffectiveness, and earnings impacts to management• Support forecasting of hedge-related P&L and balance sheet impacts• Assist with quarter-end and year-end close processesSystem & Process Improvement• Maintain hedge accounting systems and treasury management platforms• Support implementation of Treasury Management Systems (TMS) and ERP enhancements• Drive automation and process efficiency initiatives• Develop standardized procedures and documentationFull timePosting Date: 2026-07-09
$40 - $44.3 per hour
The Treasury Analyst, Cash Management provides analytical and operational support to Treasury Operations. This role is responsible for... ...the organization's exposure to credit, interest rate, and foreign exchange risks, and supporting liquidity management through cash flow...SuggestedHourly payPermanent employmentTemporary workWork experience placementShift work1 day per week- ...Treasury Analyst Department: Planning & Budget Reports to: Director, Planning... ...industry practices, bank products, foreign exchange, cash management, and treasury operations... ...collaboratively and effectively with senior academic and administrative positions,...SuggestedTemporary workBank staff
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