Sr. Treasury Analyst - Broomfield, United States - Hunter Douglas

    Hunter Douglas
    Hunter Douglas Broomfield, United States

    1 month ago

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    Description
    Hunter Douglas is the world's leading manufacturer of window coverings and a major manufacturer of architectural products. We are a brand that you know and trust.

    With more than 100 years of innovation, we've defined our industry with proprietary products that deliver revolutionary style and functionality and can be found in millions of homes and commercial buildings globally.

    We are searching for candidates that are driven, intelligent, creative, and entrepreneurial.

    By offering challenging and accelerated opportunities for growth, powered by a shared hunger for success, we create a space for your career to thrive.

    In return for your expertise, we are committed to providing competitive and robust total compensation and benefit packages to ensure you feel valued.

    Our dream is to become the fastest growing, most loved, window covering company in the world.

    What's yours?
    Position Overview
    Seeking a, treasury professional to fill the role of Senior Treasury Analyst.

    This position will be part of the team tasked with building a best-in-class Global Treasury Operation team that, oversees HD's cash management and capital planning.

    This role is also responsible for managing all aspects of treasury operations, including in-house banking, cash forecasting, Treasury Management System (TMS) implementation, and maintaining a strong working relationship with the Financial Planning and Analysis (FP&A) team.

    This is a crucial role within our finance department, and the successful candidate will contribute to our financial stability and growth.

    cash flow forecasting, and monthly close activities. Additionally, you will work cross-functionally with Global FP&A, Zone Controllers, and the Tax and Global Business Share Services team.

    The ideal candidate will possess the technical skills to complete the daily tasks and the interpersonal skills to build relationships with both internal and external stakeholders.

    What you'll do
    The work will include, but not be limited to:
    Support capital markets transactions, including preparation of presentations for external stakeholders, management team and board of directors
    Act as Fx Trader and manage FX hedging program via monthly execution of forward contracts
    Collaborate with the global tax department on internal capital structure initiatives (i.e. dividends, capital reductions, capitalizations, inter-company financings, and overall restructuring)
    Support overall liquidity planning and management.

    Involve in implementing a Global Direct Cash forecast model and collaborate closely with the FP&A team to provide insights into cash positions, funding requirements, and financial analysis to support strategic decision-making.

    Produce monthly /quarterly treasury reporting related to cash flows, investments, interest rates, FX exposure, and other ad hoc reporting requests.

    Participate in regular meetings regarding various Treasury topics with global banking partners and credit ratings
    Ad hoc projects working with Zone teams as well as cross-functional global groups

    Develop, document, and implement policies, standard operating procedures, and guidelines to ensure auditability and compliance with accounting standards and internal controls.

    Assist with the internal and external audit process, as applicable.
    Identify and implement opportunities for efficiency, automation, and process optimization.
    Who you are

    Education/Certification:
    Bachelor's degree in Finance, Accounting or related field

    Required Knowledge:
    2+ years of overall experience in treasury and related functions
    In-depth knowledge of Treasury operations and processes
    Experience with Bloomberg, FXall and Treasury management systems
    Experience in a global organization with multi-regional teams and processes
    A passionate and ambitious professional who can work effectively with all levels of the organization and across departments
    Proven ability to thrive in a fast-paced, high-growth environment and adapt to changing work environments with the ability to prioritize tasks and initiatives
    Ability to translate analytical and data-driven results into key business and operational recommendations
    Ability to apply industry best practices to design, develop, and implement operational risk mitigation strategies
    Demonstrated strong project management skills, including ability to prioritize and meet deadlines
    Experience with financial modeling and cash forecasting
    Proficiency with Microsoft Suite, Google Drive, and other automation tools

    Skills/Abilities:
    Strong attention to detail
    Time management and organizational skills
    Interpersonal communication skills
    Ability to adapt to a constantly evolving environment
    What's in it for you

    Annual base salary range:
    $118,000- $133,000

    Bonus target range: 25-35%

    A company culture that prioritizes internal development and professional growth
    Time off with pay
    401(k) plan with a degree of employer matching
    Paid parental leave
    Wellness programs and product discounts

    Please note, all offers presented to candidates are carefully crafted to ensure market competitiveness, equity, and reflect the individual candidate's education, experience, skills and potential.

    Hunter Douglas is an Equal Opportunity Employer and complies with applicable employment laws. EOE/M/F/Vet/Disabled are encouraged to apply.

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