Under the general direction of the VP Treasurer, the Director, Global Treasury oversees and coordinates the Company's global treasury function. The position drives efficient international cash usage and deleveraging of third-party borrowings.
Bachelor degree in Finance, Accounting or a related field, or equivalent combination of education and work experience
At least ten (10) years of progressive experience in a corporate finance, treasury and/or banking environment
Good math skills
Good oral and written communication skills
Basic competency with spreadsheet, word processing and presentation software
Familiarity with enterprise resource planning (ERP) and/or treasury software preferred
Certified Treasury Professional (CTP) preferred
Works closely with the VP Treasurer.
Interfaces frequently with International Controller, Regional Financial Controllers and Country Accountants on cash forecasting.
Cooperates closely with Tax, International Financial Reporting and Financial Planning & Analysis Departments.
Coordinates and reviews cash forecasting for international operations
Manages ongoing reporting of selected global debt and liquidity metrics, including but not limited to debt compliance workbooks.
Serves as international loan officer and ensures sufficient tax-compliant intercompany loan or equity documentation exists worldwide
Oversees and drives the timely clearance of intercompany transactions
Optimizes cash balances and banking partnerships
Forecasts and reports FX risks in a timely manner to enable effective risk management decisions
Develops and implements international treasury policies
Participates in international insurance renewal process as needed
Serves as backup to VP Treasurer
Assists in other treasury-related projects as needed