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Southwire

Director, Treasury

Southwire, Atlanta, Georgia, United States, 30383


Southwire Director, Treasury Atlanta, Georgia

A leader in technology and innovation, Southwire Company, LLC is one of North America’s largest wire and cable producers. We are proud to offer competitive compensation, employee benefits, tuition reimbursement, and unlimited growth opportunities. How will you power what’s possible?Position OverviewThe Director of Treasury is a role that provides a deep understanding of financial management, investment management, and corporate finance to provide daily oversight of all aspects of the Treasury function. The position has day-to-day oversight of cash management, liquidity planning, trade and supply chain finance, hedging, debt covenant compliance, and the maintenance of a sound internal controls environment. The Director of Treasury will manage a core treasury team of four team members consisting of two Senior Treasury Analysts and two Treasury Analysts.Essential Duties and ResponsibilitiesLead, mentor, and develop less experienced treasury team members.Lead technology implementations; including the continued implementation of the treasury management system – Kyriba.Coordinate the establishment or revision of policies and procedures for all core treasury functions to ensure internal controls are effectively designed and maintained.Develop expert knowledge of the Company’s debt covenants and borrowing base mechanics. Coordinate ongoing monitoring of the Company’s debt covenant compliance process.Support in the implementation and expansion of supply chain finance and other initiatives aimed at enhancing and reporting on the efficiency of the allocation of capital across the Company’s operations.Oversight of treasury operations and cash management/forecasting activities to ensure adequate liquidity is maintained to support the needs of the company at a minimum cost & executed under a sound internal controls environment.Develop expert knowledge and oversight in commodity, currency, and interest rate risk hedging activities, including design, documentation, execution, and reporting.Coordinate the treasury team effort in the preparation of periodic financial results and presentations to the Board, Rating Agencies, and lenders.Collaborate with cross-functional partners on special projects and ad-hoc assignments under direction from the Vice President of Treasury.Qualifications and ExperienceBachelor’s Degree in Accounting, Finance, Economics, or related degree required. Advanced degree, Chartered Financial Analyst (CFA), and/or Certified Treasury Professional (CTP) designation preferred.At least 10 years of relevant Treasury experience within a large complex organization, including a minimum of 5 years in a supervisory role.Comprehensive knowledge of treasury operations, hedging, debt financing investor presentations, and relevant financial concepts.Requires precise attention to detail, a self-starter, outstanding organizational skills, and a strong ability to multi-task.Requires excellent written and verbal communication skills, exceptional interpersonal skills, and ability to appropriately influence internal senior-level decision-makers and external advisors, lenders, rating agencies, and banking partners.Familiarity with a treasury management system, banking cash management portals, and proficiency with Microsoft Office applications is critical.Workplace Setting:

Hybrid (2-3 days a week On-Site)Reports To:

VP, TreasurySouthwire is an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, protected veteran status, or any other characteristic protected by law.

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