Financial Senior Analyst
ZimVie Inc.
Fecha: hace 3 semanas
ciudad: San José, San José
Tipo de contrato: Tiempo completo
Job Description
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Financial Senior Analyst
Location: San Jose, CRI
Function: Finance
We are ZimVie , a global life sciences leader focused on restoring daily life by advancing clinical technology to improve patients’ smiles, function, and confidence. Our company is founded on a legacy of trusted brands, products, and clinical evidence made possible through an inclusive and collaborative culture that empowers our team members to bring their whole selves – their best selves – to work every day to accomplish our Mission. Together, our dedicated, diverse global team is shaping an exciting future for ZimVie — we hope you’ll consider being a part of it!
Job Summary
The Senior Financial Analyst supports the company’s global treasury operations, including cash management, liquidity forecasting, banking relationships, and capital structure activities. This role combines strong financial acumen with analytical and operational expertise to ensure efficient use of cash, mitigate financial risks, and support strategic decision-making.
This position also plays an active role in FP&A activities, including forecasting, variance analysis, business case development, and analytics support, with a particular focus on cash flow, working capital, and liquidity drivers. The role operates at the intersection of treasury and FP&A, providing a comprehensive view of financial performance and cash generation.
Principal Duties and Responsibilities
Treasury & Liquidity Management
Manage daily cash positioning and liquidity across global bank accounts
Develop and maintain short- and long-term cash flow forecasts, including driver-based assumptions and variance analysis
Execute and monitor cash transactions (wires, ACH, intercompany funding, investments)
Manage banking relationships, including account structure, services, and fee optimization
Support debt compliance, covenant reporting, and lender deliverables
Assist with capital structure and financing activities
FP&A, Business Case & Analytics Support
Own and support key FP&A deliverables, including forecasting, budgeting, and variance analysis with a focus on cash flow, working capital, and liquidity
Analyze financial results and translate P&L performance into cash flow impacts
Develop and evaluate business cases, including ROI analysis, investment modeling, and scenario planning
Provide analytics support by identifying trends, risks, and opportunities impacting financial performance and cash generation
Evaluate key drivers of working capital, including DSO, DPO, and inventory trends
Support decision-making through financial modeling, sensitivity analysis, and ad hoc analysis
Partner cross-functionally to drive data-backed recommendations
Risk Management & Controls
Monitor FX and interest rate exposure; support hedging strategies where applicable
Ensure compliance with internal controls, policies, and SOX requirements
Reporting & Process Improvement
Prepare and deliver liquidity, cash flow, and financial performance reporting to senior leadership
Build and enhance reporting tools and dashboards (Excel, Power BI)
Drive automation and process improvements across treasury and FP&A workflows
Collaborate with Accounting, FP&A, Tax, Legal, and banking partners
Education / Experience Requirements
Bachelor’s degree in Finance, Accounting, Economics, or related field.
4–7+ years of experience in corporate treasury, banking, FP&A, or related finance roles.
Experience with cash forecasting, liquidity management, and banking operations required.
Exposure to debt management, capital markets, or treasury systems preferred.
Experience in a global, multi-currency environment preferred.
CTP (Certified Treasury Professional) certification is a plus.
Equivalent combination of education and experience will be considered.
Travel Requirements
Up to 10%
ZimVie is an Equal Opportunity Employer committed to diversity and inclusion in the workplace. All qualified applicants for employment and employment decisions, including hiring, promotion, transfer, demotion, evaluation, compensation, and separation, are considered without regard to race, color, religion, religious beliefs, creed, national origin, ancestry, citizenship status, age, gender/sex (including pregnancy, childbirth, related medical conditions, lactation and breastfeeding), gender identity or expression (including transgender status), sexual orientation, marital status, military status, protected veteran status, disability, protected medical condition as defined by applicable state or local law, genetic information, or any other status protected under applicable federal, state and local laws.
ZimVie generally does not sponsor applicant work visas for this position.
Requisition ID : 3572
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Financial Senior Analyst
Location: San Jose, CRI
Function: Finance
We are ZimVie , a global life sciences leader focused on restoring daily life by advancing clinical technology to improve patients’ smiles, function, and confidence. Our company is founded on a legacy of trusted brands, products, and clinical evidence made possible through an inclusive and collaborative culture that empowers our team members to bring their whole selves – their best selves – to work every day to accomplish our Mission. Together, our dedicated, diverse global team is shaping an exciting future for ZimVie — we hope you’ll consider being a part of it!
Job Summary
The Senior Financial Analyst supports the company’s global treasury operations, including cash management, liquidity forecasting, banking relationships, and capital structure activities. This role combines strong financial acumen with analytical and operational expertise to ensure efficient use of cash, mitigate financial risks, and support strategic decision-making.
This position also plays an active role in FP&A activities, including forecasting, variance analysis, business case development, and analytics support, with a particular focus on cash flow, working capital, and liquidity drivers. The role operates at the intersection of treasury and FP&A, providing a comprehensive view of financial performance and cash generation.
Principal Duties and Responsibilities
Treasury & Liquidity Management
Manage daily cash positioning and liquidity across global bank accounts
Develop and maintain short- and long-term cash flow forecasts, including driver-based assumptions and variance analysis
Execute and monitor cash transactions (wires, ACH, intercompany funding, investments)
Manage banking relationships, including account structure, services, and fee optimization
Support debt compliance, covenant reporting, and lender deliverables
Assist with capital structure and financing activities
FP&A, Business Case & Analytics Support
Own and support key FP&A deliverables, including forecasting, budgeting, and variance analysis with a focus on cash flow, working capital, and liquidity
Analyze financial results and translate P&L performance into cash flow impacts
Develop and evaluate business cases, including ROI analysis, investment modeling, and scenario planning
Provide analytics support by identifying trends, risks, and opportunities impacting financial performance and cash generation
Evaluate key drivers of working capital, including DSO, DPO, and inventory trends
Support decision-making through financial modeling, sensitivity analysis, and ad hoc analysis
Partner cross-functionally to drive data-backed recommendations
Risk Management & Controls
Monitor FX and interest rate exposure; support hedging strategies where applicable
Ensure compliance with internal controls, policies, and SOX requirements
Reporting & Process Improvement
Prepare and deliver liquidity, cash flow, and financial performance reporting to senior leadership
Build and enhance reporting tools and dashboards (Excel, Power BI)
Drive automation and process improvements across treasury and FP&A workflows
Collaborate with Accounting, FP&A, Tax, Legal, and banking partners
Education / Experience Requirements
Bachelor’s degree in Finance, Accounting, Economics, or related field.
4–7+ years of experience in corporate treasury, banking, FP&A, or related finance roles.
Experience with cash forecasting, liquidity management, and banking operations required.
Exposure to debt management, capital markets, or treasury systems preferred.
Experience in a global, multi-currency environment preferred.
CTP (Certified Treasury Professional) certification is a plus.
Equivalent combination of education and experience will be considered.
Travel Requirements
Up to 10%
ZimVie is an Equal Opportunity Employer committed to diversity and inclusion in the workplace. All qualified applicants for employment and employment decisions, including hiring, promotion, transfer, demotion, evaluation, compensation, and separation, are considered without regard to race, color, religion, religious beliefs, creed, national origin, ancestry, citizenship status, age, gender/sex (including pregnancy, childbirth, related medical conditions, lactation and breastfeeding), gender identity or expression (including transgender status), sexual orientation, marital status, military status, protected veteran status, disability, protected medical condition as defined by applicable state or local law, genetic information, or any other status protected under applicable federal, state and local laws.
ZimVie generally does not sponsor applicant work visas for this position.
Requisition ID : 3572
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