SSR Mining, Inc.
Corporate Financial Analyst
SSR Mining, Inc., Denver, Colorado, United States, 80285
Who Are We?
SSR Mining Inc. is an intermediate gold company with assets located in the four jurisdictions including the USA, Türkiye, Canada, and Argentina, combined with a global pipeline of high-quality development and exploration assets in the USA, Türkiye, and Canada.
SSR Mining is committed to delivering excellence through the contributions of our dedicated employees. With an industry-leading pipeline of projects, strong financial positioning, and talented employees, we aim to continue building on our strong foundation - we have high expectations for the future!
Job Description:
Reporting to the Director Finance, the Analyst, Corporate Finance will play a key role in the execution of SSR Mining's global growth and capital markets strategies and will also support the Company's budgeting, forecasting, and long-term planning processes.
This role will be instrumental in managing the Company's capital structure and liquidity by building and maintaining comprehensive financial models to forecast and monitor the Company's short and long-term financial outlook, while also maintaining consistency amongst all financial modeling within the corporate finance and corporate development teams. They will utilize their experience and skillset to stay abreast of the changing economic conditions that may impact the Company's financial position, including analyzing trends in the debt capital markets to identify potential financing opportunities and risks, and keeping senior leadership informed to make timely strategic decisions.
This role will collaborate with internal teams such as legal, tax, accounting, corporate development and treasury, while also managing relationships with key external stakeholders including lenders, debt investors, and investment banks. It will support the execution of debt transactions by preparing offering documents, facilitating due diligence, and participating in transaction marketing and roadshows, all with the overall goal of ensuring the Company's financial position enables the delivery of its long-term goals. The role will also provide ancillary support to the company's internal budgeting and forecasting processes, and ensure internal consistency of financial modeling outputs.
The Day to Day: Build and maintain a financial model to forecast, evaluate and monitor the Company's cash flow and liquidity Monitor the Company's key financial metrics and forecasts, ensuring the Company maintains an optimal capital structure over time Conduct scenario analysis to assess the implications of various debt structures, interest rate changes and market conditions on the Company's financial position Conduct market research and analysis on debt markets and economic conditions, including trends in interest rates, credit spreads and investor sentiment, to identify potential opportunities and risks Build and manage relationships with key stakeholders, including lenders, debt investors and internal counterparties like the legal, tax, accounting, and treasury teams Work with investment banks, legal teams and other external parties such as ratings agencies and third-party advisors to facilitate the debt issuance process, including external due diligence and Q&A processes Support the execution of debt transactions, including the preparation of offering documents and filings as well as the transaction marketing and roadshows Participate in M&A processes, evaluating financing options to support a potential transaction and/or analyzing the impact of incorporating the Target's debt portfolio and other obligations on SSR Mining's financial position Support the Company's annual budgeting and quarterly forecasting processes, ensuring consistency of financial modeling output Is This You?
Bachelor's degree in Finance, Economics, Accounting, Business Administration, or a related field. 2-4 years of experience in corporate finance, investment banking, or treasury, with a focus on debt financing or capital markets. Strong attention to detail and analytical skills and experience in financial modeling, particularly for debt instruments and capital structure analysis. Ability to effectively collaborate with individuals across all functional areas and at various levels of the organization. Knowledge of the mining industry is a plus. Knowledge of corporate finance principles, capital markets, and debt products. Proficiency in Microsoft Excel, PowerPoint, and financial analysis software. Strong communication and presentation skills for effectively conveying complex financial information to senior management.
For applicants residing in CO, the salary range for this role is from $100,000-$130,000.
Benefits: 401(k); medical/dental/vision insurance; employee share purchase plan, PTO, and STI.
SSR Mining Inc. is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.
SSR Mining Inc. is an intermediate gold company with assets located in the four jurisdictions including the USA, Türkiye, Canada, and Argentina, combined with a global pipeline of high-quality development and exploration assets in the USA, Türkiye, and Canada.
SSR Mining is committed to delivering excellence through the contributions of our dedicated employees. With an industry-leading pipeline of projects, strong financial positioning, and talented employees, we aim to continue building on our strong foundation - we have high expectations for the future!
Job Description:
Reporting to the Director Finance, the Analyst, Corporate Finance will play a key role in the execution of SSR Mining's global growth and capital markets strategies and will also support the Company's budgeting, forecasting, and long-term planning processes.
This role will be instrumental in managing the Company's capital structure and liquidity by building and maintaining comprehensive financial models to forecast and monitor the Company's short and long-term financial outlook, while also maintaining consistency amongst all financial modeling within the corporate finance and corporate development teams. They will utilize their experience and skillset to stay abreast of the changing economic conditions that may impact the Company's financial position, including analyzing trends in the debt capital markets to identify potential financing opportunities and risks, and keeping senior leadership informed to make timely strategic decisions.
This role will collaborate with internal teams such as legal, tax, accounting, corporate development and treasury, while also managing relationships with key external stakeholders including lenders, debt investors, and investment banks. It will support the execution of debt transactions by preparing offering documents, facilitating due diligence, and participating in transaction marketing and roadshows, all with the overall goal of ensuring the Company's financial position enables the delivery of its long-term goals. The role will also provide ancillary support to the company's internal budgeting and forecasting processes, and ensure internal consistency of financial modeling outputs.
The Day to Day: Build and maintain a financial model to forecast, evaluate and monitor the Company's cash flow and liquidity Monitor the Company's key financial metrics and forecasts, ensuring the Company maintains an optimal capital structure over time Conduct scenario analysis to assess the implications of various debt structures, interest rate changes and market conditions on the Company's financial position Conduct market research and analysis on debt markets and economic conditions, including trends in interest rates, credit spreads and investor sentiment, to identify potential opportunities and risks Build and manage relationships with key stakeholders, including lenders, debt investors and internal counterparties like the legal, tax, accounting, and treasury teams Work with investment banks, legal teams and other external parties such as ratings agencies and third-party advisors to facilitate the debt issuance process, including external due diligence and Q&A processes Support the execution of debt transactions, including the preparation of offering documents and filings as well as the transaction marketing and roadshows Participate in M&A processes, evaluating financing options to support a potential transaction and/or analyzing the impact of incorporating the Target's debt portfolio and other obligations on SSR Mining's financial position Support the Company's annual budgeting and quarterly forecasting processes, ensuring consistency of financial modeling output Is This You?
Bachelor's degree in Finance, Economics, Accounting, Business Administration, or a related field. 2-4 years of experience in corporate finance, investment banking, or treasury, with a focus on debt financing or capital markets. Strong attention to detail and analytical skills and experience in financial modeling, particularly for debt instruments and capital structure analysis. Ability to effectively collaborate with individuals across all functional areas and at various levels of the organization. Knowledge of the mining industry is a plus. Knowledge of corporate finance principles, capital markets, and debt products. Proficiency in Microsoft Excel, PowerPoint, and financial analysis software. Strong communication and presentation skills for effectively conveying complex financial information to senior management.
For applicants residing in CO, the salary range for this role is from $100,000-$130,000.
Benefits: 401(k); medical/dental/vision insurance; employee share purchase plan, PTO, and STI.
SSR Mining Inc. is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.