The Manager, Capital Markets & Financial Risk, will play a key role in evaluating, structuring, and executing a wide range of capital markets transactions.
Requirements
- Evaluate capital structure alternatives and provide strategic recommendations to senior leadership.
- Lead and support the execution of capital markets transactions, including debt and equity offerings, liability management, credit agreements, and share repurchase programs.
- Coordinate transaction processes, including term negotiation, documentation, due diligence, bank engagement, and closing activities.
- Develop and maintain reporting dashboards and analytics for peer benchmarking, capital structure analysis, and market conditions.
- Contribute to capital deployment strategies, including dividend policy, share repurchase execution, and debt refinancing.
- Identify and implement trade finance solutions to optimize the company’s cash position.
- Design and manage interest rate and foreign exchange hedging programs; assess the impact of changes in hedge accounting standards.
- Prepare presentation materials for senior management and the Board of Directors; assist in the coordination of board meeting content.
- Build and maintain strong relationships with external financial institutions, including banks and rating agencies.
- Support internal capital commitment processes and perform ad hoc financial analyses to inform strategic decision-making.
Benefits
- Tuition Reimbursement
- 401k Matching
- Relocation Assistance