Jun 30, 2018

Treasury Manager opportunity -Capital Markets

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

Job Description


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


  • 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.


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