Ingevity · 1 day ago
Vice President, Treasurer and Investor Relations
Ingevity is a company that develops innovations to purify, protect, and enhance the world around us. The Vice President, Treasurer and Investor Relations will lead the global treasury function and investor relations program, working closely with senior leaders to optimize financial strategies and communicate the company's performance to the investment community.
Chemical
Responsibilities
Lead Ingevity’s global treasury function, including cash management, credit and collections, debt management, investment management, and capital allocation
Identify opportunities to expand digital treasury transformation and automation
Develop investor relations strategy, including investor targeting. Execute investor relations strategy outreach to effectively communicate the company’s financial performance, strategy, and outlook to investors, analysts, and other stakeholders. Including proactive management of sell-side analyst forecasts
Serve as the primary point of contact for the investment community, including analysts, institutional investors, and rating agencies
Prepare and deliver quarterly earnings materials, investor presentations, annual reports, and other investor communications
Monitor market trends, investor sentiment, and peer company performance to inform executive leadership and the Board
Coordinate with legal, finance, and communications teams to ensure compliance and consistency in external messaging
Advise the company on investment strategies associated with benefits plans
Oversee the company’s insurance and enterprise risk management (ERM) programs
Maintain and develop strong relationships with banking partners, creditors, rating agencies, and payment service providers
Develop and implement Ingevity’s global cash mobility strategy
Oversee the global banking structure, settlement of cash flows, and related controls, ensuring compliance with reporting requirements
Set investment, hedging, and other treasury-related policies and procedures to mitigate global treasury risks in line with the company's strategy
Assist the CFO in leading other capital allocation strategies, including M&A activities, shareholder dividends, share buybacks, and related items
Oversee corporate real estate holdings and the company’s ERM program
Present capital structure and capital allocation assessments and strategies to executive management
Develop and oversee capital structure strategy, including oversight of corporate lenders, implementation of debt financing agreements, interest rate management, and debt compliance
Recommend financing strategies and evaluate opportunities to reduce company risk exposure and enhance financial benefits
Lead capital markets activities, including negotiation and administration of bank credit facilities, public and private debt issuance (bonds, private placements, tax-exempt financing), hedging and derivative transactions, and letters of credit
Optimize cash efficiency through active management of working capital, debt, and investments, and accurate and timely forecasting while minimizing financial risk
Develop and execute investor relations strategy, including investor communications, disclosures, market intelligence, and peer benchmarking
Provide feedback to executive leadership on investor sentiment and market trends
Prepare and deliver presentations to executive management regarding capital structure, capital allocation, and investor relations activities
Qualification
Required
Bachelor's degree in finance or accounting required
Ten or more years of global treasury and/or finance experience; 5+ years of corporate treasury experience highly preferred
Demonstrated success in managing investor relations for a public company, including earnings calls, investor days, and analyst meetings
Experience managing cash across multiple countries and legal entities
Previous experience serving as an assistant director or director of treasury
Experience with mitigating FX exposure via hedges, terms, or other mechanisms
Experience and familiarity working with lenders and negotiating debt agreements; strong understanding of bank and lender markets
Desire to partner with CEO, CFO, and external institutions to explore optimal long-term capital structure for a growing business
Excellent analytical, strategic thinking, and financial modeling skills required
Ability to coach and develop a team is critical
Team-oriented, collaborative, and flexible, with demonstrated ability to articulate and drive a team towards designed outcomes
Ability to lead across a matrix organization to ensure effective and efficient decision-making
Demonstrated success in engaging leadership in effective decision making, including strong project management skills and a demonstrated ability to lead complex cross-functional initiatives across a breadth of stakeholders
Executive-level communication and presentation skills
Excellent verbal and written communication skills
Proficiency with Microsoft suite, treasury workstations/software, and various ERP/databases
Ability to travel 10-15% of the time
Preferred
MBA or advanced degree in finance, accounting, or Certified Treasury Professional (CTP) preferred
5+ years of corporate treasury experience highly preferred
Knowledge of manufacturing, chemicals, and automotive industry preferred; global or multi-national business experience strongly preferred
Company
Ingevity
From cleaner automotive emissions to sustainable materials, Ingevity is a global specialty materials company at the forefront of delivering products that make the world cleaner, safer and more sustainable.
Funding
Current Stage
Public CompanyTotal Funding
unknown2016-05-16IPO
Recent News
Morningstar.com
2025-12-08
MarketScreener
2025-12-08
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