Job Information
Lamb Weston Sr Global Treasury Manager Capital Markets - PART-TIME - Req-257350-6429 in Eagle, Idaho
This job was posted by https://idahoworks.gov : For more information, please see: https://idahoworks.gov/jobs/2358050 Title: Sr Global Treasury Manager Capital Markets - PART-TIME
Location: Eagle, ID
About Lamb Weston
We love making fries almost as much as you like eating them! Since the 1950\'s, Lamb Weston has inspired customers with food they love, trust, and share with families and friends. As a leading global manufacturer of quality frozen potato products with over 10,000+ team members around the world, it\'s our business to see the possibilities in potatoes and people.
We are looking for team members with an appetite for a challenge! People who are hungry to join a winning team and help us make a difference in the world. When you join Lamb Weston, you join a community with a strong support network and training programs designed to nurture, inspire, and help you grow.
We are driven by a relentless pursuit of results and by people who think creatively and embrace our values of: Integrity, Teamwork, Inclusion, Drive for Results, and Empowerment. Exactly what you\'d expect from the most inventive potato company in the world!
Join Lamb Weston! We bring the world together with our fries.
Job Description Summary
Lamb Weston is a \$4B, global, Fortune 1000 company. We are looking for a Senior Manager of Global Treasury to join the Treasury team, which oversees Treasury initiatives. This role will lead projects focused on capital structure management, foreign exchange, debt issuance, capital allocation planning, leasing programs, alternative financing (securitization programs, sale lease-backs) and other banking/credit functions. This requires working cross-functionally with our business partners, legal, FP&A, accounting and tax teams to support financing initiatives. Lead financial risk management (FX & interest rate) activities for the corporation by establishing programs and utilizing
appropriate derivative instruments for hedging as required.
Job Description
This Part-Time position requires an established leader who will contribute to the design and execution of efficient and innovative capital market transactions, allowing Lamb Weston to grow and deliver new products to customers. The successful candidate should be comfortable with ambiguity and balancing multiple competing priorities.
- Lead, develop and manage the financial risk management activities for Lamb Weston (hedge exposure with financial derivatives for interest rate, and FX risk) in consultation with the Treasurer
- Update Finance Leadership on a periodic basis on the potential risks, issues, and opportunities as inputs into strategic planning
- Partner with domestic and global business teams to develop financing decisions and execute action plans
- Build analytical financial models to evaluate capital structure decisions including financing, return of capital, and contingency planning
- Work with banking partners to implement financing through leasing and alternative financing solutions (receivables securitization programs, sale lease-backs, etc.)
- Support public and private debt issuance
- Perform financial analysis for various financing structures and make recommendations to the Treasurer
- Ensure transactions are completed in a controlled environment following appropriate SOX related controls
- Model credit rating outcomes
- Support capital structure and quarterly reporting
- Support the Treasurer in the planning/reporting processes for Treasury\'s budget
- Support the Treasurer on other key Treasury functions as required including share buyback programs, cash forecasting, debt covenants, and debt forecasting
- Instill a high-performance culture across the Treasury team
- Incorporate best practices for managing capital markets leveraging technology, systems, and other releva t tools
Basic & Preferred Qualifications
- 10+ years of Treasury, Capital Markets, or applicable experience
- Demonstrated abilities as a strong leader, manager, motivator, and team builder
- Strong communication and interpersonal skills are required.
- BA/BS degree in Finance, Economics, or similar
- MBA and/or CFA preferred
- Certified Treasury Professional (CTP) designation preferred
- Advanced Excel and Financial Modelling Skills
- Keen attention to detail
- Working knowledge of Bloomberg
- Experience establishing and overseeing FX / derivative hedging activities
- Experience in debt issuance across a variety of currencies, structures, and markets
- Advanced analytical, negotiation, and problem-solving skills
- The ability to self-start and work independently in a fast-paced environment
- Ability to communicate effectively in writing
Industry-Competitive Benefits
Coupled with our compensation and bonus incentive programs, our benefits deliver rewards that are market competitive. Some of the most attractive elements of our benefit programs include:
Health Insurance Benefits - Medical, Dental, Vision
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