Job Description
North Dallas Fortune 500 company is looking for a solid Treasury professional with expertise in managing corporate treasury activities, serve as custodian of funds and assets, and be responsible for running the business insurance programs. The keys to this position would be experience in corporate cash, currency exchange risk, credit risk, capital structure, short-term borrowing and investments, and the maintenance of banking relationships.
Job Requirements
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B.S. in Finance, Accounting, Business, or related field with an MBA from a top educational institution and CFP, CRM, CFA, or CRA is preferred
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10-15 years of progressive treasury with increasing responsibility and corporate domestic and international finance experience with prior risk management, banking relations, and negotiation skills
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Recent practical experience as a Corporate Treasurer
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Strong analytical capabilities combined with strong leadership, interpersonal, verbal and written communication skills
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Multi-faceted direction and planning of departmental activities within treasury, tax, a plus, & insurance including P&L responsibility
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