Sr. Financial Risk Analyst in Charlotte, North Carolina
Posted 02/21/23
THE TEAM YOU WILL BE JOINING:
  • Multi-Billion Dollar global developer and manufacturer of advanced specialty materials 
  • Over 100 years of history with one of the largest global platforms in the industry; operations and facilities in 100 countries
  • High growth company expanding their footprint through acquisitions in Latin & North America, Europe, and Asia; over 5,000 employees worldwide. 
  • Diverse products that are used in an array of industries including pharmaceutical, cleaning product manufacturers, water treatment, agricultural, electronics goods manufacturers, refineries, and paper and photographic companies.
  • Company has strong leadership and extensive experience taking company to the next level through innovation and sustainability. 
 
WHAT THEY OFFER YOU:
  • Chance to work with a first-class leadership team in a high growth, global business. Company has quadrupled in size in the last two years.
  • High visibility position with daily interaction with key stakeholders
  • Competitive Salary and Benefits (401k match, Health, Dental, Vision)
LOCATION - Charlotte, NC (SouthPark) - hybrid flexibility
 
RESPONSIBILITIES:
  • Manage financial day-to-day activity and reporting.
  • Prepare FX exposure spreadsheet and execute approved trades.
  • Support the team in managing cash flow hedge program.
  • Assist in evaluation of commodity exposures and potential hedge opportunities.
  • Prepare quarterly covenant compliance and treasury inputs to SEC filings.
  • Ensure appropriate month-end treasury activities are completed.
  • Create and update management presentations.
  • Support capital market transactions including any debt or equity issuances.
  • Ensure budget accuracy and timely payment of bond interest payments, dividends, etc.
  • Ad-hoc analysis, financial modeling, and additional responsibilities as required.
  • Serve as a backup to other Treasury activities, and other duties as assigned.

BACKGROUND THAT FITS:
  • Bachelor's degree in Finance, Economics, Business Administration, or similar area of study. CFA or MBA preferred.
  • 4+ years of Financial Risk experience is required.
  • Knowledge of SAP, BPC preferred.
  • Manufacturing, costing, and inventory analysis background preferred.
  • Experience working within Capital Markets.
  • Familiarity with Compliance, Stock, Bonds, and hedging.
#LI-CL1
  • Employee Type: Direct Hire
  • Location: Charlotte, North Carolina
  • Category: Accounting and Finance
  • Date Posted: 02/21/23
Apply Today!
Apply Today!

Apply Today!

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