The Sr. Manager Treasury – Capital Markets reports directly to the Vice President & Treasurer and is responsible for supporting all aspects of the companys capital structure which includes capital strategy, debt/equity issuance, liquidity management, cash flow forecasting and reporting as well as other core Treasury responsibilities. The individual in this role must be technology savvy, have demonstrated capital market experience and thrive in a in a fast-paced collaborative environment with minimal supervision, along with the ability to handle multiple tasks with a high degree of accuracy while meeting time sensitive deadlines.
The Treasury Manager Capital Markets responsibilities include, but are not limited to:
Original source: Indeed