Date: Jun 25, 2026
Location: Zapopan, JAL, MX
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Company: Carestream Health
Carestream Health Inc.
Innovation that sparks imagination. Continue on to your next challenge with us.
Carestream is a worldwide provider of medical imaging systems and solutions; x-ray imaging systems for non-destructive testing; manufacturing of film and precision contract coating services for a wide range of industrial, medical, electronic and other applications—all backed by a global service and support network. Carestream’s diagnostic imaging technology systems are at work in 90 percent of hospitals worldwide.
At Carestream, we offer a global perspective and a world of opportunities for people who have the desire to make a positive impact. Join our team!
Compensation
- This range reflects Carestream’s good faith estimate to pay fairly as starting wage. Offers will be tailored within the range based on the selected candidate’s experience, industry knowledge, technical and communication skills, and other factors that may prove relevant during the interview process, as well as geographic market differentials for the position.
Position Summary:
The Treasury Analyst supports day-to-day treasury operations across the United States and Mexico, with responsibility for cash management, liquidity forecasting, banking activities, and compliance. This role works closely with the Treasury Manager to ensure efficient cash flow, maintain strong banking relationships, and support cross-border financial operations. The position also collaborates with Accounting, Finance, Tax, and regional teams to ensure accurate execution of treasury activities and adherence to internal controls and regulatory requirements.
Position Responsibilities:
Cross-Border Treasury Activities
Support intercompany funding and settlements between U.S. and Mexico entities
Assist in managing cross-border cash movements and repatriation activities
Coordinate with Tax and Finance on cross-border regulatory and compliance matters
Foreign Exchange (FX) Support
Monitor foreign currency exposures, particularly USD/MXN
Support FX deal execution, confirmations, and settlements
Prepare basic analysis on FX impacts to cash flow and financial results
Compliance & Controls
Support payment control processes including segregation of duties, payment verification, and fraud prevention controls
Assist in monitoring compliance with treasury authorization policies and banking mandates
Maintain accurate documentation for treasury transactions and processes
Support internal and external audits by providing requested information
Stay informed of relevant regulatory requirements in the U.S. and Mexico
Reporting & Analysis
Prepare recurring treasury reports, including cash position and liquidity metrics
Support working capital analysis and improvement initiatives
Assist in identifying trends and areas for operational improvement
Process Improvement & Projects
Identify opportunities to enhance treasury processes, controls, and efficiency
Support Treasury Manager with system enhancements or implementations (e.g., TMS, banking tools)
Participate in regional or global treasury initiatives
Required Skills & Education:
Bachelor’s degree in Finance, Accounting, Economics, or related field
3-5 years previous work experience in treasury, finance, or related field
Basic understanding of cash management and banking operations
Organization skills – can plan, execute, and control multiple tasks
Experience working with treasury management systems, bank portals, payment factories, or ERP treasury modules
Familiarity with electronic payment formats and bank connectivity (ACH, wire, SWIFT, host-to-host, etc.)
Communication skills – excellent written and verbal presentation skills; good listening skills
Excellent written and spoken English and Spanish required. Knowledge of other languages will be an asset but not required
Interpersonal skills – can work effectively with both internal and external cross-functional personnel at all levels of the organization
Strong analytical, organizational, and problem-solving skills
Proficiency in Microsoft Excel
Desired Skills:
Experience with treasury management systems (TMS), SAP, or other ERP platforms
Exposure to foreign exchange (FX) or cross-border treasury operations
Experience supporting multinational operations, particularly U.S. and Mexico
Familiarity with Mexico banking regulations, SPEI payments, and local banking operations is preferred
Work Environment:
This position is primarily an office setting with standard temperature and humidity controls, moderate to light noise, fluorescent lighting, primarily sitting with standing desks available, extensive computer and keyboard use, etc.
Carestream is an Equal Opportunity Employer
Carestream is an equal opportunity organization. We recruit, employ, train, compensate, and promote without regard to race, religion, creed, color, national origin, age, gender, sexual orientation, gender identity, marital status, disability, veteran status, or any other basis protected by applicable federal, state or local law.
Applying for a job with Carestream
All Carestream employees must complete the on-line application process. Carestream is committed to working with and providing reasonable accommodations to individuals with disabilities. If you require assistance or an accommodation because of a disability to participate in the application process,
Requisition ID: 4752