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Lenovo

Global Finance Talent Program - Treasury Analyst (Cash Planning)

1-3 Years
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Job Description

We are Lenovo. We do what we say. We own what we do. We WOW our customers.

Lenovo is a US$69 billion revenue global technology powerhouse, ranked #196 in the Fortune Global 500, and serving millions of customers every day in 180 markets. Focused on a bold vision to deliver Smarter Technology for All, Lenovo has built on its success as the world's largest PC company with a full-stack portfolio of AI-enabled, AI-ready, and AI-optimized devices (PCs, workstations, smartphones, tablets), infrastructure (server, storage, edge, high performance computing and software defined infrastructure), software, solutions, and services. Lenovo's continued investment in world-changing innovation is building a more equitable, trustworthy, and smarter future for everyone, everywhere. Lenovo is listed on the Hong Kong stock exchange under Lenovo Group Limited (HKSE: 992) (ADR: LNVGY).

This transformation together with Lenovo's world-changing innovation is building a more inclusive, trustworthy, and smarter future for everyone, everywhere. To find out more visit www.lenovo.com, and read about the latest news via our StoryHub.

Global Finance Talent Program (GFTP) Treasury Analyst

Location: Singapore

Program Duration: 3 Years

Rotations: Two 12-month rotations within Lenovo Global Finance

About The Program

Lenovo's Global Finance Talent Program (GFTP) is a fast-track development program for high-potential Finance Accounting graduates. Through two rotationsincluding two within Finance Team you will gain hands-on experience, develop strong financial skills, and contribute to Lenovo's global operations in a dynamic Fortune 500 environment.

Key Responsibilities First Treasury Rotation

About Cash Planning

Treasury oversees cash planning, liquidity management, working capital, finance cost analysis, and system/process transformation. The role requires strong financial knowledge, attention to detail, and proactive stakeholder engagement.

Cash Flow Liquidity Management

  • Prepare short- and long-term cash flow forecasts.
  • Monitor global cash balances and analyze variances.
  • Support liquidity planning to ensure optimal cash levels.

Treasury Reporting Compliance

  • Produce regular cash and liquidity reports for senior management.
  • Ensure adherence to Treasury policies and regulatory requirements.
  • Support internal and external audit requests.

Process Improvement Strategy

  • Recommend improvements to cash planning processes and tools.
  • Participate in automation and system enhancement initiatives.
  • Stay updated on market trends and treasury technologies.

Cross-Functional Collaboration

  • Work with Accounting, Finance, Supply Chain and Operations teams.
  • Provide insights on liquidity impacts to business decisions.

Learning Development

  • Structured training in finance fundamentals and Lenovo business operations.
  • Mentorship, leadership exposure, and global project assignments.
  • Rotational learning across diverse business units.

Qualifications

Required:

  • Bachelor's/Master's in Finance, Accounting, Economics, or related field.
  • 1+ year experience (including internships) in finance, accounting, treasury, or analytics.
  • Ability to operate in a fast-paced global environment.

Preferred

  • Strong analytical, communication, and problem-solving skills.
  • Advanced Excel and financial systems proficiency.
  • Ability to work independently and collaborate across teams.

We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, religion, sexual orientation, gender identity, national origin, status as a veteran, and basis of disability or any federal, state, or local protected class.

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About Company

Job ID: 141444697