Jpenergypartners
Director of Treasury
Company
Role
Director of Treasury
Location
Job type
Full-time
Posted
147 months ago
Salary
Job description
Job Description:
Reporting to the Vice President of Finance will be responsible to develop and manage strategies, operations and policies related to the treasury function, including cash forecasting and cash management, borrowing, and payment processing.
Key Responsibilities / Performance Requirements:
- Lead cash management activities based on the liquidity needs of the business, capital projects and acquisitions
- Develop processes and systems to determine daily cash position; track and manage intra and inter-company funding.
- Manage cash balances and related treasury systems and banking relationships.
- Forecast short-term and long-term sources and uses of cash involving the development of a cash forecast model.
- Manage debt obligations, lender relationships and credit facility compliance requirements.
- Manage payment processing and fraud prevention functions.
- Ensure treasury activities are in compliance with treasury policies, accounting guidelines, governance policies and internal controls.
- Develop and execute commodity and interest rate hedges consistent with the company’s risk management policies
- Manage letters of credit process to support the crude oil business
Required Skills:
- Seven to 10 years of experience in finance and treasury, with a minimum of 4 years in a corporate treasury; strong treasury background.
- Bachelor’s degree in finance, mathematics and/or economics.
- M.B.A. or other advanced degree in finance, economics, statistics or similar fields a plus.
- CTP or CFA a plus.
- Knowledge of capital and currency markets, accounting, and finance.
- Experience in SEC reporting & SOX compliance, as well as statutory and GAAP reporting a plus.
- Excellent analytical, interpersonal, communication and presentation skills.


