Full-Time Senior Analyst - Global Treasury
RR Donnelley is hiring a remote Full-Time Senior Analyst - Global Treasury. The career level for this job opening is Senior Manager and is accepting Chicago, IL based applicants remotely. Read complete job description before applying.
RR Donnelley
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This is a hybrid role, you must report to our Chicago, IL office. SIGN-ON BONUS eligible!
The position supports the Company’s financing and corporate finance-related activities, including debt and liquidity management, foreign exchange and interest rate risk management, and global banking and investments.
- Assist with the company’s global hedging operations, including tracking, monitoring, and executing hedging instruments, preparation of monthly mark-to-market valuations, maintenance of ISDAs, and ongoing reporting and administration.
- Perform analyses to evaluate financing alternatives and opportunities to manage risk and reduce costs.
- Maintain a direct cash flow forecast to assist with liquidity, working capital management, and debt planning.
- Assist with the administration of the debt portfolio, including the preparation of debt compliance certificates and schedules.
- Work with foreign subsidiaries to understand cash fluctuations and cash flow forecasting, foreign exchange exposures, repatriation opportunities, etc.
- Provide analytical support in tracking and understanding the company’s exposures to currency risks, including preparing monthly reports summarizing foreign exchange exposures for international subsidiaries.
- Support corporate finance and treasury-related projects, coordinating with internal departments, banks, and outside advisors.
- Analyze investments in the Company’s retirement plans.
- Maintain strong relationships with other areas within the organization, including treasury operations, corporate accounting, tax, and FP&A.
- Perform other related duties and participate in special projects as assigned.
Requirements:
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- Minimum of three (3) years of experience in finance
- Minimum two (2) years working in the Treasury Corporate Finance function
- High proficiency in Excel financial modeling
- Bloomberg experience is a plus
- Exceptional analytical and problem-solving abilities
- Demonstrated interest in Corporate Finance
- Exposure to Foreign exchange hedging and international finance issues is required
- Strong written and verbal communication skills and an ability to work with people at all levels
- Highly organized and detail-oriented
- High ethical standards
- Proficiency in Microsoft Office applications (Excel, Word, PowerPoint)