Assistant Treasurer, Corporate Finance & Insurance Accounting - Atlanta, GA at Geebo

Assistant Treasurer, Corporate Finance & Insurance

Ensuring Chart's SuccessReporting to the Vice President of Finance and Treasurer, the Assistant Treasurer -Corporate Finance & Insurance will have global responsibility for optimizing Chart's capital structure, managing financial risks, and administering insurance programs.
This role will be critical in building a best-in-class treasury function for a $4B global company.
Position will ideally be located in Atlanta, GA or near The Woodlands, TX.
What Your Day-to-Day Activities Will Be Responsible for strategy and execution of corporate finance and capital markets activities in support of the company's overall business strategy.
oOptimize capital structure over time through continuous evaluation of financing alternatives.
oManage Chart's $4 billion debt portfolio, including borrowing/repayment efforts and covenant compliance.
oDevelop holistic framework for managing interest rate, FX, and commodity risks, partnering with the business to identify and quantify exposures.
Recommend and execute strategies to mitigate these risks.
oManage the intercompany loan portfolio, partnering with tax, accounting, and legal to ensure compliance and efficiency.
oLead Chart's global insurance program, including day-to-day administration and annual renewal process.
oPartner with the business to evaluate working capital alternatives such as supply chain financing.
oDevelop robust treasury processes and controls, ensure global adherence.
oAssist with Treasury Management System integration/rationalization.
oExplore emerging technologies to enhance automation, improve visibility, and reduce administrative efforts.
oPerform treasury due diligence on all acquisitions and assist with integration efforts related to banking and treasury processes.
oServe as a key contact for external relationships, including banks, insurance brokers, rating agencies, auditors, etc.
oSupport Treasurer with ad-hoc projects.
Your Education Should Be Bachelor's degree in finance or accounting.
M.
B.
A.
or other advanced degree in finance, economics, statistics or similar fields.
CTP certification a plus.
Your Physical Work Environment Will RequirePrimarily office and computer work.
Travel and meetings with bankers.
Your Professional Experience Should Be 10
years of experience, with a minimum of 6 years of corporate finance/capital markets experience.
Demonstrated proficiency in executing capital markets transactions and managing hedging programs.
Prior experience managing insurance programs a plus.
Excellent analytical skills, interpersonal skills, oral and written communication skills, and presentation skills.
In-depth understanding of treasury function and connectivity to key stakeholders such as accounting, tax, and legal.
Ability to effectively influence leaders at all levels.
Intellectual curiosity and desire to drive continuous improvement.
Strong attention to detail, and a hands-on roll up your sleeves approach.
Chart is an equal opportunity employer Recommended Skills Administration Analytical Attention To Detail Automation Business Process Improvement Capital Markets Estimated Salary: $20 to $28 per hour based on qualifications.

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