Assistant Treasurer Job Vacancy in Emerson St. Louis, MO 63135 – Updated today

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Full Details :
Company Name :
Emerson
Location : St. Louis, MO 63135
Position :

Job Description : If you are a Financial professional looking for an opportunity to grow, Emerson Corporate has an exciting opportunity for you! Based in our St. Louis, Missouri location, you will report to the Treasurer and have 3 direct reports responsible for Financial Operations, Hedging and Corporate Finance. You will direct the planning, implementation, and oversight of Emerson’s global financial infrastructure. This position is responsible for investing & funding decisions, capital structuring, global cash management, financial hedging, and interest rate exposure management. Additionally, you will support the Treasurer with communications to senior management, the Finance Committee, and the credit rating agencies. In addition, you will regularly interact with corporate and business unit executives (e.g., CEO, CFO, CAO, VP Tax, VP Legal, VP M&A, and Business Unit Finance Officers).
AS AN ASSISTANT TREASURER, YOU WILL :
Manage currency and interest rate risk through the conservative use of appropriate financial instruments
Develop and implement treasury strategies. This will involve analyzing operations and recommending changes in financial policies and procedures to increase efficiency, reduce cost, and enhance profitability
Direct worldwide short-term fixed income investments in accordance with a board approved investment policy
Expand and improve global cash management capabilities
Manage liquidity through a proper mix of short & long-term funding supported by appropriate back-up credit lines
Coordinate long-term debt issuance and related SEC filings (debt shelf and prospectus supplements)
Direct share repurchase and provide guidance on proper targets
Oversee the preparation of the quarterly presentations for the Finance Committee
Presentations involve the analysis of current and forecasted interest rates, interest rate exposure, liquidity, credit ratings, and dividend policy.
Direct and coordinate funding & capital structure requests for international operations. Interact regularly with corporate tax professions to achieve the best overall funding structures on an after-tax basis
Direct treasury due diligence and post-closing integration for acquisitions, divestitures, and joint ventures
Review acquisitions for potential issues associated with assumed debt, derivatives, letters of credit, and guarantees
Provide treasury advice during due diligence and review purchase/sale documents for potential treasury issues.
Integrate acquisitions into treasury cash management structures subsequent to closing
Direct the preparation of interest expense and cash flow forecasting. Requires detailed knowledge of cash flow accounting, balance sheet preparation, & worldwide funds flow.
Direct preparation debt & derivatives footnote disclosure for annual report. Ensure proper debt and derivative disclosures in the annual report and 10-Q’s.
Understand FAS 133/138 (in conjunction with Corporate Accounting) in order to assess financial statement impacts from debt, foreign exchange hedging, & other derivative products
Manage publicly traded equity investments and provide advice in the strategic management of these investments
Direct the preparation of the annual rating agency presentations
Develop and maintain productive relationships with financial institutions to ensure access to the best available external resources for financial advice and transactions
Develop key professional staff members for increased responsibilities
WHO YOU ARE :

You promote a sense of urgency and establish and enforce individual accountability in the team. You show a tremendous amount of initiative in tough situations and are exceptional at spotting and seizing opportunities. You identify and monitor key financial indicators to gauge performance, identify trends, and suggest strategies that can impact results. You find and champion the best creative ideas and actively move them into implementation. You model high standards of honesty and integrity. You communicate the vision with a sense of purpose about the future.
REQUIRED EDUCATION, EXPERIENCE & SKILLS:
Bachelor’s degree in Accounting, Finance, Economics, or Engineering.
MBA
Requires a solid understanding of financial accounting and corporate taxation.
Strong presentation and communication skills in addition to detailed analytical abilities.
Minimum of 10 years treasury/finance work experience, with at least 5 years management experience in a large multinational corporate finance department.
PREFERRED EDUCATION, EXPERIENCE & SKILLS:
CPA preferred, but not required.

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