Brown-Forman · 1 day ago
Global Treasury Manager-Remote
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Food and BeverageWine And Spirits
Comp. & Benefits
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Responsibilities
Advise on strategies for managing market risks, including foreign currency exchange rates, interest rates, and commodity prices. Use risk modeling techniques (e.g., Value at Risk, Monte Carlo simulations) to evaluate risk exposure and devise mitigation strategies.
Collaborate with corporate FP&A to determine foreign currency exposures and design strategies to mitigate these risks.
Develop and analyze hedging strategies for interest rates and commodity price risks.
Manages Brown-Forman’s worldwide foreign currency and commodities transactions, while ensuring alignment with strategy and conformity with policies.
Scope includes spot transactions and transactions involving derivative financial instruments used in hedging program.
Maintain accounts for tracking hedging activities and prepare related reports and analyses.
Record foreign currency hedging transactions in SAP.
Prepare reports and analysis on derivatives valuation, hedge coverage percentages, and hedging gains/losses.
Business process owner and SME for foreign exchange risk management systems and Treasury department’s databases.
Advise on capital structure and financing strategies, including optimal debt/equity mix and debt repayment and refinancing alternatives.
Assist with long-term capital raising efforts
Analyze and execute capital markets transactions, including dividend declarations, share repurchases, and stock splits.
Support the management of the company’s worldwide cash positions.
Drive process improvements and automation in global cash management operations and systems such as SAP S/4.
Prepare short-term cash flow forecasts and manages short-term borrowing or investment decisions.
Evaluate foreign currency positions in light of upcoming derivative contract maturities and coordinate with markets to ensure currency availability.
Track and report key economic indicators, debt portfolio metrics, commercial paper statistics, credit ratings, capital market analysis, debt capacity scenarios.
Qualification
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Required
Bachelor’s Degree in Finance, Accounting or Business Administration and 5+ years experience in corporate finance role, including Treasury Operations
Solid working knowledge of strategies and implementation programs used to identify, quantify, and manage foreign exchange, interest rate and commodity risks.
Ability to apply corporate finance theory to practice. Demonstrates prudent judgment by utilizing knowledge of industry best practices and current trends.
Understanding of treasury concepts which may include regulatory regimes such as FBAR, FATCA, anti-money laundering regulations, and other rules governing cash transactions and banking.
Ability to balance multiple projects and respond quickly to high-priority issues.
Continuous improvement mindset
Preferred
Professional certifications (CPA, CFA, CTP).
MBA.
Proficiency in SAP treasury module and data analytical tools (Tableau, Alteryx).
Experience in Capital Markets and Risk Management.
International treasury experience
Proficient in accounting, disclosure, and management control related to job scope (ASC 815 et al)
Company
Brown-Forman
Brown‑Forman Corporation has been building exceptional spirits brands for more than 150 years, responsibly upholding our founding promise of “Nothing Better in the Market.” Ourportfolio of premium brands includes the Jack Daniel’s Family of Brands, Woodford Reserve, Herradura, el Jimador, Korbel, New Mix, Old Forester, The Glendronach, Glenglassaugh, Benriach, Diplomático Rum, Chambord, Gin Mare, Fords Gin, Slane, and Coopers’ Craft.
Funding
Current Stage
Public CompanyTotal Funding
$1.25B2023-03-21Post Ipo Debt· $650M
2018-03-22Post Ipo Debt· $600M
1978-01-13IPO
Leadership Team
Recent News
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