Jun 30, 2018

Treasury Manager opportunity -Capital Markets

  • Bond And Company
  • Melville, NY, USA
Full time Treasury Finance Accounting

Job Description

POSITION SUMMARY:

Primary responsibilities are the management of the company’s debt, global currency risk, and interest rate derivatives.  Provide operational and analytical support to the Director, Capital Markets

POSITION REQUIREMENTS/QUALIFICATIONS:

  • Bachelor’s degree in Finance or Accounting, MBA a plus.
  • 5-8 years of combined experience in corporate treasury, financial analysis, or accounting in a large multinational
  • Detailed understanding of accounting (in particular FAS 133) and tax issues as they relate to foreign exchange transactions, derivative financial instruments, and other capital market transactions.
  • Strong quantitative abilities, an analytical and effective problem solver who can effectively distill complex issues into component parts. 
  • Excellent interpersonal, people management and communication skills.  Ability to deal effectively with all levels of the organization.  Global perspective – comfortable dealing with other cultures. 
  • Understands the interdependence of all treasury functions and places a high value on what is best for the team versus own area. 
  • High energy level, achievement oriented, customer driven attitude, and works with a sense of urgency.

 


Apply Now