At 3M, you have the opportunity to tap into your curiosity and collaborate with some of the most innovative and diverse people around the world. Here, you will make an impact through:
- Developing and maintaining comprehensive financial models to analyze and manage cash flow, liquidity, and funding across the enterprise.
- Designing and executing enterprise-wide working capital initiatives in partnership with internal stakeholders and financial institutions.
- Collaborating across departments to drive global repatriation strategy and maximize cash efficiencies / liquidity across the enterprise.
- Analyzing and executing strategies related to dividend policy, share repurchases, liquidity management, and capital markets activities
- Preparing presentations for senior management and the Board of Directors on the Company’s capital allocation strategy and other key financial topics.
- Collaborating with internal stakeholders and external financial institutions to proactively develop corporate finance recommendations.
- Supporting strategic transactions in the global capital markets.
- Ensuring compliance with internal policies and external regulations related to treasury activities.
Your Skills and Expertise
To set you up for success in this role from day one, 3M is looking for candidates (at a minimum) who must have the following qualifications:
- Bachelor’s degree or higher in Finance, Economics or a related field(completed and verified prior to start) from an accredited institution.
- Five (5) years of experience working in a corporate environment and/or financial services, including Treasury, Finance, and/or a related field.
Additional qualifications that could help you succeed even further in this role include:
- Demonstrated experience in financial modeling and analysis, with advanced proficiency in Microsoft Excel.
- Strong understanding of financial statements and business acumen.
- Experience in FP&A, M&A, or Corporate Development.
- Advanced Microsoft PowerPoint skills, with the ability to create compelling executive-level presentations.
- Experience engaging with external parties, including financial institutions.
- A proactive, self-starter with ability to drive results and embrace challenges.
- Strong verbal and written communication skills, with the ability to convey complex financial information clearly and concisely.
- Outstanding organizational and prioritization skills to manage multiple priorities in a face paced environment.
In-person, position located in St. Paul, MN
Please note: your application may not be considered if you do not provide your education and work history, either by: 1) uploading a resume, or 2) entering the information into the application fields directly.
Please access the linked document by clicking select the country where you are applying for employment, and review. Before submitting your application, you will be asked to confirm your agreement with the terms.