Sealed Air Corporation creates a world that feels, tastes and works better. In 2016, the Company generated revenue of approximately $6.8 billion by helping our customers achieve their sustainability goals in the face of today’s biggest social and environmental challenges. Our portfolio of widely recognized brands, including Cryovac® brand food packaging solutions, Bubble Wrap® brand cushioning and Diversey® cleaning and hygiene solutions, enables a safer and less wasteful food supply chain, protects valuable goods shipped around the world, and improves health through clean environments. Sealed Air has approximately 23,000 employees who serve customers in 171 countries. To learn more, visit www.sealedair.com.
Job Description
The Senior Treasury Analyst will report to the Assistant Treasurer who oversees capital markets activities, financial risk management and financing solutions.
Responsibilities:
- Assist in the development of required reporting of foreign currency exposures and interest rates transactions.
- Provide analysis to support and develop strategies to minimize risk, execute hedges, monitor results and adjust processes to achieve continuous improvement.
- Execute hedge contracts to carry out company strategies.
- Prepare required reporting of foreign currency exposures and interest rate transactions, including monthly/quarterly reports and management reports.
- Create new and ongoing hedge documentation to achieve favorable hedge accounting treatment, where needed.
- Prepare analysis and support for capital structure strategy development and debt financing transactions.
- Coordinate preparation of quarterly debt compliance analytics, ongoing debt basket tracking and periodic credit agreement pro forma and forecast modeling.
- Provide analysis and support for vendor supply chain financing program and related working capital improvement program solutions.
- Evaluate lease versus buy scenarios and early lease terminations, and provide recommendations.
- Lead ad hoc projects and recommend/implement improvements to enhance best practices, working cross-functionally to include appropriate stakeholders and driving innovation and data-driven decision-making.
Qualifications
Required:
- Bachelor’s degree in business, accounting, finance or similar field
- Minimum 5 years of relevant experience in treasury, banking, finance or similar role
- Solid understanding of FX hedge principals including exposure identification, common hedge types and hedge accounting practices
- Robust analytical skills and system proficiency in Excel
- Proven experience working cross-functionally, adapting to varied and changing requirements in a fast-paced environment within a global organization
- Effective, clear and concise written and oral communication skills
- Sound judgment and strong decision-making skills
Preferred:
- MBA or master’s degree in accounting, finance or similar field
- CTP (or CCM) certification
- FX hedge experience, including execution, documentation and reporting
- SAP, Sungard Quantum treasury management software and Hyperion Financial Management experience
All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, age, disability or protected veteran status.