Senior Manager Capital Markets Liquidity Risk
Aviso de fuente externaen Crawford Thomas Recruiting
Louisville, KY (Hybrid) $165,000 - $245,000 Base Salary Full Benefits | Relocation Assistance Available U.S. Citizens & Green Card Holders Only (Unable to provide sponsorship.) About Our...
Salario
No especificado
Ubicación
Louisville, United States
Tipo de empleo
Tiempo completo
Modalidad
No especificado
Senior Manager Capital Markets Liquidity Risk
Louisville, United States
Descripción del empleo
Louisville, KY (Hybrid)
$165,000 - $245,000 Base Salary
Full Benefits | Relocation Assistance Available
U.S. Citizens & Green Card Holders Only (Unable to provide sponsorship.)
About Our Client
Our client is a global leader in the consumer products industry with a strong international presence and continued investment in growth. They are expanding their Treasury organization and seeking a high-potential leader to build and grow their Capital Markets & Liquidity Risk function.
This is a unique opportunity to help shape Treasury strategy, partner with executive leadership, and grow into future Assistant Treasurer responsibilities.
What You'll Do Lead long-term global liquidity forecasting and cash flow planning Support debt issuance, refinancing, and capital structure initiatives Manage banking relationships and global credit facilities Develop funding strategies aligned with long-term business growth Build financial models, scenario analyses, and liquidity forecasts Partner with FP&A, Accounting, Procurement, and Operations Support foreign exchange, interest rate, and commodity risk strategies Prepare presentations and recommendations for executive leadership Help build and grow the Capital Markets organization
What We're Looking For 8-12+ years of Treasury, Capital Markets, or Liquidity Management experience Experience with debt financing, credit facilities, or capital markets Strong financial modeling and long-range forecasting experience Experience partnering with senior finance leadership Ability to work independently in a lean, fast-paced environment Bachelor's degree in Finance, Accounting, Economics, or related field
Preferred Experience Oracle EPM or other long-range forecasting platforms Treasury Management Systems (Kyriba, SAP Treasury, Oracle Treasury, etc.) Consumer products, beverage, food manufacturing, or other global organizations MBA, CFA, or CTP,
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