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Senior Manager, International Treasury na Coherent Corp.

Coherent Corp. · Glasgow, Reino Unido · Hybrid

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JOB SUMMARY

Coherent is a global leader in lasers, engineered materials and networking components. We are a vertically integrated manufacturing company that develops innovative products for diversified applications in the industrial, optical communications, life sciences, semiconductor equipment, and consumer markets. Coherent provides a comprehensive career development platform within an environment that challenges employees to perform at their best, while rewarding excellence and hard work through a competitive compensation program. It's an exciting opportunity to work for a company that offers stability, longevity and growth.

The Senior Manager International Treasury will be responsible for oversight of Treasury Operations in the EMEA and APAC regions including bank account management, cash and liquidity management, intercompany loans, and cash forecasting.  The successful candidate will work closely with site controllers and finance teams to ensure treasury operations are managed in line with the strategic priorities set by the Corporate Treasurer and be the liaison between EMEA and APAC finance teams and Corporate Treasury.

PRIMARY DUTIES & RESPONSIBILITIES.

  • Cash & Liquidity Management
    • Lead the implementation of a liquidity management solution (physical cash pool) in EMEA and APAC, working cross functionally with legal, accounting and tax to ensure proper functionality. 
    • Manage cash pool balances and create reporting to ensure proper recording of pool activity. 
    • Manage intercompany loans for EMEA and APAC including creation, maintenance, settlement and interest expense reporting, working cross functionally with legal, tax and accounting.   
    • Ensure pool participant compliance with pool rules and corporate treasury strategy.
    • Plan annual settlement of pool assets and liabilities through dividend distributions or equity infusions. 
    • Execution of payments to and from the pool including loans to Corporate, FX trading, trade execution, documentation and settlement.
  • Bank & Bank Account Management
    • Responsible for managing all EMEA and APAC bank accounts and working across all EMEA and APAC sites to ensure smooth treasury operations including: 
    • Account opening, closing and signer maintenance.
    • Know Your Customer inquiries and delivery of relevant documents timely to the banks.
    • Bank portal administration.
    • Approval of Treasury payments.
  • Cash Forecasting
    • Responsible for building and maintaining Cash Pool forecasts to facilitate funding and planning.
    • Work cross functionally to forecast pool balances ensuring pool obligations are met.
    • Lead the process within EMEA to identify pockets of liquidity that can be used by the business for repatriation, debt repayment or investment.
  • Bank Relationship Management
    • Develop relationships with international banking contacts and identify areas of expertise for each.
    • Generate ideas and implement best practices for international treasury management solutions and opportunities.
    • Assist the Corporate Treasurer in developing regional strategy and priorities. 

EDUCATION & EXPERIENCE

  • B.S. or B.A. in Finance, Economics, or Accounting.
  • Demonstratable professional experience in treasury or banking at a large multinational corporation with significant operations in EMEA. 
  • Significant experience managing a cash pool in EMEA. 

SKILLS & OTHER REQUIREMENTS

  • Demonstrated problem solving and work prioritisation skills.
  • Ability to keep up to date with technology and apply to business strategic plan.
  • Ability to achieve results independently or working with others.
  • Excellent interpersonal and communication skills; ability to communicate effectively with end-users, management, and staff.
  • Ability to handle multiple priorities involving internal customer requests and demands.
  • Ability to excel in a cross-organisational, cross cultural, global team environment.
  • Handle special assignments promptly and professionally.
  • Set a high standard of ethics, professionalism, and competency.

WORKING CONDITIONS

Working conditions typical of a climate controlled and professional office environment. This role routinely uses standard office equipment such as computers, phones, photocopiers.

SAFETY REQUIREMENTS

All employees are required to follow the site EHS procedures and Coherent Scotland EHS standards.

QUALITY & ENVIRONMENTAL RESPONSIBILITIES

Depending on location, this position may be responsible for the execution and maintenance of the ISO 9000, 9001, 14001 and/or other applicable standards that may apply to the relevant roles and responsibilities within the Quality Management System and Environmental Management System.

CULTURE COMMITMENT

Ensure adherence to company’s values (ICARE) in all aspects of your position at Coherent:

Integrity – Create an Environment of Trust

Collaboration – Innovate Through the Sharing of Ideas

Accountability – Own the Process and the Outcome 

Respect – Recognize the Value in Everyone

Enthusiasm – Find a Sense of Purpose in Work

Company

Coherent is a global leader in lasers, engineered materials and networking components. We are a vertically integrated manufacturing company that develops innovative products for diversified applications in the industrial, optical communications, military, life sciences, semiconductor equipment, and consumer markets. Coherent provides a comprehensive career development platform within an environment that challenges employees to perform at their best, while rewarding excellence and hard-work through a competitive compensation program. It's an exciting opportunity to work for a company that offers stability, longevity and growth. Come Join Us!

Note to recruiters and employment agencies: We will not pay for unsolicited resumes from recruiters and employment agencies unless we have a signed agreement and have required assistance, in writing, for a specific opening.


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