What are the responsibilities and job description for the Senior Manager, Capital Markets & Liquidity Risk position at Crawford Thomas Recruiting?
Louisville, KY (Hybrid)
$165,000 - $245,000 Base Salary
Full Benefits | Relocation Assistance Available
U.S. Citizens & Green Card Holders Only (Unable to provide sponsorship.)
About Our Client
Our client is a global leader in the consumer products industry with a strong international presence and continued investment in growth. They are expanding their Treasury organization and seeking a high-potential leader to build and grow their Capital Markets & Liquidity Risk function.
This is a unique opportunity to help shape Treasury strategy, partner with executive leadership, and grow into future Assistant Treasurer responsibilities.
What You'll Do Lead long-term global liquidity forecasting and cash flow planning Support debt issuance, refinancing, and capital structure initiatives Manage banking relationships and global credit facilities Develop funding strategies aligned with long-term business growth Build financial models, scenario analyses, and liquidity forecasts Partner with FP&A, Accounting, Procurement, and Operations Support foreign exchange, interest rate, and commodity risk strategies Prepare presentations and recommendations for executive leadership Help build and grow the Capital Markets organization
What We're Looking For 8-12 years of Treasury, Capital Markets, or Liquidity Management experience Experience with debt financing, credit facilities, or capital markets Strong financial modeling and long-range forecasting experience Experience partnering with senior finance leadership Ability to work independently in a lean, fast-paced environment Bachelor's degree in Finance, Accounting, Economics, or related field
Preferred Experience Oracle EPM or other long-range forecasting platforms Treasury Management Systems (Kyriba, SAP Treasury, Oracle Treasury, etc.) Consumer products, beverage, food manufacturing, or other global organizations MBA, CFA, or CTP,
$165,000 - $245,000 Base Salary
Full Benefits | Relocation Assistance Available
U.S. Citizens & Green Card Holders Only (Unable to provide sponsorship.)
About Our Client
Our client is a global leader in the consumer products industry with a strong international presence and continued investment in growth. They are expanding their Treasury organization and seeking a high-potential leader to build and grow their Capital Markets & Liquidity Risk function.
This is a unique opportunity to help shape Treasury strategy, partner with executive leadership, and grow into future Assistant Treasurer responsibilities.
What You'll Do Lead long-term global liquidity forecasting and cash flow planning Support debt issuance, refinancing, and capital structure initiatives Manage banking relationships and global credit facilities Develop funding strategies aligned with long-term business growth Build financial models, scenario analyses, and liquidity forecasts Partner with FP&A, Accounting, Procurement, and Operations Support foreign exchange, interest rate, and commodity risk strategies Prepare presentations and recommendations for executive leadership Help build and grow the Capital Markets organization
What We're Looking For 8-12 years of Treasury, Capital Markets, or Liquidity Management experience Experience with debt financing, credit facilities, or capital markets Strong financial modeling and long-range forecasting experience Experience partnering with senior finance leadership Ability to work independently in a lean, fast-paced environment Bachelor's degree in Finance, Accounting, Economics, or related field
Preferred Experience Oracle EPM or other long-range forecasting platforms Treasury Management Systems (Kyriba, SAP Treasury, Oracle Treasury, etc.) Consumer products, beverage, food manufacturing, or other global organizations MBA, CFA, or CTP,
Salary : $165,000 - $245,000