The Opportunity: 
Treasury Analyst will execute Mattel’s daily liquidity management, intercompany funding and propose borrowing and investment recommendations, manage global bank account process including optimization of global banking. The analyst will interact with Mattel’s global subsidiaries to support cash forecasting process and help improve existing cash and bank account management processes. Global cash management is at the core of the treasury function and understanding the impact of transactions on cash flow forecasting and global liquidity is integral to this positionWhat Your Impact Will Be: Partner with International affiliates and business teams to forecast global cash flows and assess opportunities to optimize working capital and investment decisionsSupport the global treasury cash management system and process automationAssist Director of Risk Management with analyses aimed at optimizing customer credit insurance in addition to other areas of riskMaintain financial models to support cash flow and liquidity calculationsBuild partnership and alignment with key functions within the company, including the Shared Service Centers, Controller’s Office, FP&A, Tax, Legal, and Internal Audi