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Senior Director, Treasurer

Posted 10 hours 9 minutes ago by Teleflex

Permanent
Full Time
Other
Berkshire, Wokingham, United Kingdom, RG401
Job Description
Position Summary

The Senior Director, Treasurer is responsible for oversight of the Company's treasury operations and risk management strategies. Responsibilities include cash management, risk assessment, developing and executing hedging strategies, maintaining bank relations and compliance, and cash management planning and forecasting. The Senior Director will be a member of the Finance leadership team.

  • Manage cash flow forecasting, liquidity planning, and investment strategies.
  • Develop cash targets to support efficient liquidity management and ensure subsidiaries have adequate working capital to support operations.
  • Partner with the Director, Tax to ensure efficient strategies are put in place to transfer cash between entities as needed to optimize working capital and liquidity needs.
  • Develop and implement hedging strategies to mitigate foreign currency exposure risk.
  • Maintain relationships with lenders and financial institutions.
  • Maintain efficient and effective policies and procedures that provide adequate controls over treasury activities and provide support for regulatory reporting.
  • Support major Company investment opportunities such as financings, capital investments, and potential M&A targets by working with the various teams to develop accurate and relevant financial analysis of such opportunities.
  • Create and maintain dashboards for Treasury KPIs.
  • Perform risk assessments and ensure adequate insurance coverage is in place.
  • Lead the Treasury team and provide training and guidance to ensure their continued professional development.
Education / Experience Requirements
  • 10+ years of experience in progressive finance roles with strong knowledge of global treasury operations.
  • BS in Finance/Accounting is required. CPA, MBA, or CTP is a plus.
  • Experience in a leadership role within a global manufacturing company is preferred.
  • Experience in dealing with multiple currencies and cross currency impacts is required.
  • Proven ability to analyze financial data, draw sound conclusions, and recommend effective courses of action, which includes the ability to solve practical problems and deal with a variety of concrete variables in situations where limited standardization exists.
  • Sound understanding of GAAP/IFRS.
Specialized Skills / Other Requirements
  • Excellent written, oral, and interpersonal communication skills with all levels of the organization; Ability to build positive and effective relationships.
  • Ability to simultaneously manage multiple responsibilities/tasks and shifting priorities under tight deadlines.
  • Proven track record of leading and managing people.
  • Proficient in Microsoft Office suite productivity tools (Excel, PowerPoint, Word, Reporting tools, etc.).

Travel required:

Teleflex is an equal opportunity employer. Applicants will be considered without regard to age, gender, race, nationality, ethnicity, civil status, family status, sexual orientation, disability, religion and/or membership of the traveller community.

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