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Jabil

Treasury Analyst

Jabil

Treasury Analyst II at Jabil managing financial risk, credit management, and treasury IT enhancement. Collaborating with finance teams and preparing analytical reports for decision-making.

Posted 7/24/2026full-timeSzombathely • 🇭🇺 HungaryMid-LevelSeniorWebsite

Core Competencies

Role fit
Core Competencies

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Demonstrates strong finance and accounting expertise, with hands-on experience in credit risk management, treasury functions, and analytical reporting. Proficient in Microsoft Excel and Power Apps, ensuring compliance with corporate policies and effective handling of sensitive information.

Highest-signal resume keywords
Bachelor's Degree In Finance Or AccountingHands-On Finance Knowledge And ExperienceTreasury ExperienceProficient In Microsoft ExcelFluency In English

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Credit Risk ManagementFX ManagementAsset MonetizationAnalytical ReportingTreasury Functions
Soft Skills
CollaborationAttention To DetailCommunication
Tools & Technologies
Treasury Work StationJabil Internal SystemMicrosoft Power Apps
Certifications & Qualifications
CPA Preferred
Industry Keywords
Corporate PoliciesConfidential Information Handling

About the role

Key responsibilities & impact
  • Compile and collect information needed for credit risk management, FX management and asset monetization
  • Work closely with site finance people and various departments to get first hand information.
  • Input and generate data in Treasury Work Station and Jabil internal system.
  • Support supervisor initiatives and driving for improvement.
  • Assure corporate policies/ procedures and policies are well followed.
  • Prepare various analytical reports.
  • Assist in various special projects as they arise in the treasury function.
  • Ensure all sensitive and confidential information is handled appropriately.
  • Handle day to day treasury related work.

Requirements

What you’ll need
  • Bachelor’s degree in finance or accounting or equivalent external work experience
  • Masters degree/ CPA preferred
  • Hands-on finance knowledge and experience is required
  • Treasury experience is a plus
  • Proficient with Microsoft package (mainly Excel) and comfortable with Power Apps
  • Fluency in English is needed for the position both verbally and in a written form (minimum B2).

Benefits

Comp & perks
  • Health insurance
  • Retirement plans
  • Paid time off
  • Flexible work arrangements
  • Professional development opportunities