Develop and manage financial models for capital structure, company valuation, risk management, and share repurchase execution.
Perform data analysis and reporting on large internal and external financial datasets to gain valuable insights and enhance efficiency.
Conduct analysis of capital return strategies and implement share repurchases as needed.
Support the execution of financing transactions such as revolver financing. Manage processes to track and report the company’s performance under debt covenant.
Act as a backup trader for FX risk management and investment portals, assisting with ad hoc projects as needed.
Partner effectively with Accounting, FP&A, Investor Relations, Tax and Legal teams.
Prepare and present financial analyses to senior leadership in Treasury and Finance.
Support other Treasury personnel and manage assigned duties within the team.
A Typical Day:
Flexible in a dynamic environment
Able to solve complex problems, exercising judgment even in ambiguous situations
Proactive and mission-driven
Enthusiastic to learn and grow
Team-oriented with a positive and solution orientation
Strong consultative communication and relationship-building skills; ability to work collaboratively with people at all levels of the organization and drive actionable recommendations
Your Expertise:
8+ years of relevant experience including financial analysis and working with large data sets
Advanced modeling skills
Familiarity with SQL, or a willingness to learn SQL. Experience with Bloomberg is a plus
B.A. or B.S. from an accredited four-year college or university