- Leading strategic financial advisory services related to corporate finance, treasury management, and commodities
- Analyzing client financial needs and developing strategies for capital structure optimization and liquidity management
- Managing cash flow forecasting and providing guidance on mergers, acquisitions, and divestitures
- Utilizing analytical thinking and financial modeling to enhance decision-making and optimize financial performance
- Building and maintaining relationships with clients to validate outcomes and act on feedback
- Directing teams through complex financial scenarios, demonstrating composure in challenging situations
- Applying systems thinking to identify underlying financial problems and opportunities
- Crafting and conveying clear, impactful messages that tell a holistic financial story
- Initiating open and honest coaching conversations to develop high-performing teams
- Monitoring and analyzing financial trends to provide strategic insights and recommendations
Requirements
- At least a Bachelor's degree
- At least 7 years of experience
- Preference for at least one of the following fields of study: Accounting, Analytics/Data Science, Computer Science/Information Systems, Finance
- At least one of the following: an active CPA license, Certified Treasury Professional (CTP), Certified Financial Advisor (CFA) or a Treasury Management System (TMS) Vendor Certification
- Demonstrating advanced skills in Corporate Treasury, Treasury Management and Financial Risk Management
- Implementing Treasury Management Systems (Kyriba) and Payment tools
- Applying knowledge of global liquidity management techniques
- Utilizing analytical thinking to drive strategic financial planning and forecasting
- Excelling in crafting and conveying clear, impactful financial presentations
- Leading teams through complex financial modeling and cash flow forecasting
- Applying systems thinking to identify and address underlying financial challenges
- Building and sustaining diverse, inclusive, and high-performing teams
- Utilizing technologies that support collaboration and automation
Core Competencies
Demonstrates expertise in Corporate Treasury, Treasury Management, and Financial Risk Management, with a strong focus on financial modeling, cash flow forecasting, and strategic financial planning. Proven ability to lead high-performing teams and communicate complex financial insights effectively.
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