Sr. Director, Treasury
rxinsiderMiami, FL
Sr. Director, Treasury
rxinsiderMiami, FL
yesterday
Industries
Commercial BankingCorporate, Subsidiary, and Regional Managing OfficesMonetary Authorities-Central BankAbout the role
Job Description
About the role:
Reporting to the Global Treasurer (GT), the role is responsible for leading all treasury activities within the Americas (North & South America) region and directing the Americas treasury team. Additionally, the role is accountable for directing and managing the day-to-day activities related to Amcor’s capital structure, external financing, debt covenant & global SOX compliance, and key stakeholder reporting. This includes but is not limited to transactions in the debt and equity capital markets, share repurchases, USD commercial paper issuance, working capital management, interest rate hedging and interest expense management, monthly management reporting, board reporting, external reporting (e.g. SEC requirements), global SOX reporting, internal hurdle rate management (discount rates / hurdle rates), and maintaining all Global Treasury policies. The role also assists the GT with managing Amcor’s relationships with the lending banks, ratings agencies (Moody’s/S&P/Fitch) and credit analysts The role leads the Americas team support for all Business Groups (BGs) within the region on their respective treasury needs. This includes a wide range of responsibilities from cash and liquidity management to financial risk management, working capital initiatives, short-term funding, bank relationship, treasury systems and more.
Key Job Accountabilities:
Capital Structure Management
Managing Amcor’s funding activities, including equity and debt capital market issuances
Monitoring the debt / equity funding balance consistent with a BBB/Baa 2 rated company Funding strategy and liquidity management
Assess strategic and annual operating plans to prepare a funding plan analysis to support Amcor’s objectives (leverage, debt/equity mix, liquidity needs, interest expense)
Work with the Regional Treasury Directors to ensure adequate liquidity is available to fund Amcor’s working capital needs, while ensuring that Amcor’s day-to-day liquidity levels are maintained at optimal levels by managing Amcor’s USD and EUR commercial paper programs Working capital and CAPEX management
Closely manage borrowings with goal of maintaining compliance with financial covenants
Leads the global coordination and reporting on Amcor’s supply chain finance, customer supply chain finance, and inventory finance facilities
Work with the BGs and corporate accounting to ensure all working capital programs are in compliance with Amcor’s policies Interest rate management
Leading the development of appropriate interest rate policies and interest rate expense management strategies
Working with the Regional Treasury Directors on the implementation of the interest expense management strategy
Ensuring net interest expense is reported in a timely manner and continuously develop methods to improve analysis
Efficiently managing Amcor’s interest rate exposure and budget to minimise net interest costs and maximise opportunities by developing and implementing various interest rate risk management strategies
Effectively adjusting Amcor’s interest rate exposure profile through the use of synthetic products such as FRA’s, interest rate swaps, options and futures Return of capital and share trust activities
Oversee Amcor’s annual share repurchases across both the NYSE & ASX
Evaluate the funding requirements for Amcor’s share-trust, including designing and implementing strategies on how to best fund (on-market purchases, equity hedges, etc)
Coordinate with Treasurer EMEA/APAC on ensuring that quarterly dividend funding in in place Treasury financial reporting
Oversee the creation and distribution of the Global Treasury monthly management report (MMR) and routine board presentations (5x / year)
Prepare ad hoc board presentations on treasury matters (DCM, Financing, Share Trust, Dividend, Repurchases, etc)
Prepare/review all financial statement disclosures for quarterly and full year accounts around treasury and financial risks (SEC reporting)
Interface with internal and external auditors on treasury matters
Prepare relevant reporting for debt and credit facilities on financial covenants
Lead the coordination of the Global Treasury SOX compliance, testing & reporting Rating Agency management
Assist the GT with managing relationship with credit rating agencies
Develop model to track and forecast rating agency metrics
Lead team efforts, alongside Investor Relations (IR) team on preparing quarterly earnings update and periodic updates on the company’s liquidity profile for the Ratings Agencies.
Work with the GT and IR on proactively addressing rating agency questions about the outlook for the business and Amcor’s credit metrics Regional Financing
Assessing and recommending inter-company loan structures (including corporate loans, regional, in-country, intra-Business Group structures)
Negotiating/organising appropriate external short- and long-term facilities with banks (ex: working capital lines, overdraft facilities, revolver and term funding and others)Cash and cash pool management
Create the strategy for an efficient bank account and cash pool setup for the Americas region Manage and optimise the number of bank accounts across both regions and their setup
Setup, maintain and optimise the regionals cash pool arrangements
Develop regional cash repatriation strategy in consultation with the BGsLiquidity management and short-term funding
Setup, maintain and optimise regional credit lines. Use bilateral, overdraft or synthetic facilities in addition to syndicated facilities to increase flexibility and/or lower interest expense
Cash concentration efforts within the region to minimize non-pooled cash and offer the main platform and flexibility as a hub for Amcor to pool/fund globally
Maintain the substantial intercompany loan positions with the region Repatriation and Americas capital structure
Coordinate the Americas cash repatriation program
Together with Tax team, address specific capital structure requirements within the Americas region to optimise the outcome: e.g. equity injections in high interest rate environments, capital reductions to free up unused capacity, minority shareholder negotiations, long term loan qualifications, etc Financial Risk management
Establish FX risk management strategy for Americas exposures. This includes hedging operational exposures, intercompany loans as well as cash balances
Drive usage of FX risk management systems and tools across the region (Reval, FXall, and transitioning to Kyriba)
Oversee risk management activities executed by the Americas’ treasury team Working capital initiatives & trade finance
Setup, maintain and enhance approved supply side financing programs
Setup, maintain and enhance approved reverse factoring programs
Setup, maintain and enhance guarantee and letters of credit facilities
Advise and support special programs as needed (sale and lease back, hire purchase, a/r sales programs, etc)
Supporting global reporting requirements from the region for SCF and CSCF programs Global Treasury related activities
Support GT on group wide requirements in areas such as: Optimising global cash balances.
Global repatriation plan and coordination of the underlying transactions throughout the year.
Preparation of treasury related board papers (as required).
Treasury contribution to Amcor’s financial reporting requirements. Eg. consolidated treasury SRP, analysis and reporting for certain financial notes, etc.
Global Treasury audit and compliance (internal and external).
Ensure external compliance requirements for treasury (Dodd Frank, FBAR, etc).
Own the global relationship for the Treasury Management System (Reval) and drive optimization of the system’s adoption and usage across Amcor Bank relationship management
Lead and optimize the transactional banking structure in each country, with pooling/netting capability if possible for each BG and BU
Assess, direct and coordinate business to Amcor relationship banks where appropriate and beneficial for each Business Group (especially within Latin America)
Engage with global procurement to ensure efficient contract negotiations (ex: corporate cards)Systems and infrastructure
Various banking software solutions and interfaces. Includes user access and in some cases administrator responsibilities
Treasury management system and interfaces (currently Reval, transitioning to Kyriba)
Trading system and interfaces (Reuters/FXall with ancillary interfaces)Managing Diversity/directing Others
Lead, manage, guide and develop the Americas treasury team as a group of highly specialised and highly-motivated individuals who like to win and work as a team Specific (regional and/or global) projects and M&A transactions
Cash pools
Repatriation schemes
M&A treasury support (acquisition, divestment, venture, etc.)
Internal loan restructuring Qualifications/Requirements
Bachelors degree in Accounting, Finance or related field. Minimum of 10 years of treasury experience
Professional certification such as CTP or CPA
CFA preferred
Preferred:
Fully Bilingual, English and Spanish; Portuguese is a plus
Master’s degree in Business Administration or related field, preferred
Business Acumen
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JOB OVERVIEW
Experience level
Manager
Location
Miami, FL
Occupation
Treasurers and Controllers
Industry
Commercial Banking
Posted
yesterday
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