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Limitless High-tech career opportunities - Expoint

Palo Alto Director Capital Markets 
United States, California 
845428488

11.03.2025

Being the cybersecurity partner of choice, protecting our digital way of life.

Your Career

Reporting to the Company’s VP, Global Treasurer, you will help drive the strategic initiatives related to the Company’s capital structure and other related balance sheet and corporate finance activities. You will be an integral part of the planning and future direction of the Company’s core Treasury activities

Your Impact

  • Manage the Company’s use of capital, establish long term roadmap and strategy
  • Oversee and manage the Company’s cash and investments - Oversee and manage internal and external portfolio management activities - fixed income credit analysis and establish return metrics and risk analysis
  • Responsible for FX and exposure management - recommend strategy and execution of currency hedge program(s)
  • Analyze and deliver accurate Other Income/Expense forecasts
  • Manage and recommend strategic initiatives related to the Company’s capital allocation activities including share repurchases
  • Manage, maintain and cultivate relationships with external parties, investment banks, asset managers
  • Maintain financial risk management policies, procedures, and guidelines - ensure compliance with applicable regulations, SOX and internal control policies, reporting requirements, and disclosure standards
  • Manage and lead a high performing team across cash, investments, financing, and foreign exchange
  • Ad-hoc support and thought leadership around cash flow, WACC, M&A due diligence, financing considerations
  • Minimal travel may be required

Your Experience

  • 12+ years of experience working in a complex global corporate environment and/or financial services - experience in the large cap tech industry a plus
  • MBA/CFA candidates preferred or equivalent military experience required
  • Be comfortable working in a fast-paced, deadline driven environment
  • Experience with executing financial transactions such as credit facilities, debt issuance, derivatives, share repurchases
  • Advanced proficiency in analytical and financial modeling including ability to build comprehensive modeling including integrated income statement, balance sheet and cash flow statements
  • Comfortable presenting materials and analysis to internal leadership
  • Ability to provide sound financial business judgment, strategic thinking and broad business perspective across the organization
  • Deep understanding of financial markets and its impact to the business
  • Positive & enthusiastic attitude, leading with courage and empathy
  • Excellent organizational, prioritization, oral and written communication skills
  • Record of career progression with increasing levels of responsibility
  • Demonstrated operational and strategic mindset that is results-oriented with a strong bias towards executing with speed, agility, and quality

Compensation Disclosure

The compensation offered for this position will depend on qualifications, experience, and work location. For candidates who receive an offer at the posted level, the starting base salary (for non-sales roles) or base salary + commission target (for sales/commissioned roles) is expected to be between $209,000 - $286,500/YR. The offered compensation may also include restricted stock units and a bonus. A description of our employee benefits may be found .

All your information will be kept confidential according to EEO guidelines.