Rogers Corporation Treasury Manager- Risk Management and Capital Markets in Chandler, Arizona
Who We Are and What We Are All About: Help build a cleaner, safer and more connected world through a career with Rogers Corporation. At Rogers, our innovative materials technologies enable breakthroughs in clean technology, internet connectivity, mass transit and more -- but it’s our people that set us apart. Integrity and respect are at the heart of how we work. We excel at building enduring relationships that foster trust with our colleagues and business partners. We work creatively and cross-functionally a rewarding work environment. For a brighter tomorrow, explore Rogers today across the globe to deliver unique solutions to our customers in the United States, Europe and Asia.
Manages day-to-day activities in treasury function particularly as pertaining to risk management within a complex, global public company. Performs treasury activities related to foreign exchange, interest rate and commodity hedging, derivatives trading, global insurance program management, interacting with banks, raising debt and equity capital, computing WACC, determination of optimal capital structure. Relies on extensive experience and judgment to plan and accomplish goals. Performs a variety of tasks. Leads and directs the work of others. A wide degree of creativity and latitude is expected. Reports to Assistant Treasurer.
Essential Functions: 1. Stays abreast of internal and external financing, currency and commodity trends. Leads analysis to develop & recommend appropriate hedging strategies, implements approved strategy, reports & monitors results of strategy. 2. Provides support as necessary for monthly and quarterly close including review of disclosures for accuracy & appropriateness as it relates to derivatives (mark-to market, effectiveness testing, review derivative policy), or other areas of treasury responsibility. 3. Calculate weighted average cost of capital and partner with Assistant Treasurer to optimize the company’s capital structure; recommend financing strategies for M&A opportunities 4. Assists with all other treasury related functions, including special projects or other tasks as necessary including the development of professional presentations for an executive level audience. 5. Assist on the integration of acquisitions from a treasury perspective 6. Act as a financial consultant to the broader organization on topics ranging from currency and interest rate issues to lease-vs-buy; provide economic and financial data as needed to other functional areas. 7. Promotes and maintains relationships with the company’s banking partners and other financial institutions. 8. Assist in administration of the global insurance program. Work with the company’s broker and carriers to document and process claims. Help lead renewal of the insurance program on an annual basis including compilation and submission of underwriters’ due diligence requests.
To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. The requirements listed below are representative of the knowledge, skill, and/or ability required. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
Required Education and Experience: * * Bachelor’s Degree in Accounting/Finance * 5-7 years corporate multinational treasury management experience * General knowledge of GAAP and SEC reporting requirements * Extensive experience in preparing and analyzing cash flow forecasts * Experience in presenting and preparing proposals to recommend new processes, services, etc. Required Skills and Abilities: * * Excellent collaboration, verbal and written communication skills. * Able to break down problems into meaningful parts and come to rational and well-thought out conclusions * Attention to detail and accuracy * Interested in process improvement * Willing to adapt quickly to changes in direction * Internally motivated to seek out answers, generate ideas, and develop new skills *Preferred Education and Experience: * MBA * 10 years corporate multinational treasury experience * Prior capital raising experience (debt, equity) Preferred Skills and Abilities: * Excellent MS Excel skills * Well-versed in MS PowerPoint and ability to create professional presentations for an executive-level audience Why work for Rogers With an outstanding work environment, vast developmental opportunities, and a top- notch benefit package, it is no wonder a majority of our employees have been with us longer than 10 years. Come join a winning team!
Rogers Corporation provides equal employment opportunities to minorities, females, veterans, and disabled individuals, as well as other protected groups.
How You Can Apply for this Position Visit us at:www.rogerscorp.com/careersto apply!
About Rogers Corporation: Rogers Corporation (NYSE:ROG) is a global leader in engineered materials to power, protect and connect our world. With more than 180 years of materials science and engineering experience, Rogers delivers high performance solutions that enable clean energy, internet connectivity, and safety and protection applications, as well as other technologies where reliability is critical. Rogers delivers Power Electronics Solutions for energy-efficient motor drives, vehicle electrification and alternative energy; Elastomeric Materials Solutions for sealing, vibration management, and impact protection in mobile devices, transportation interiors, industrial equipment and performance apparel; and Advanced Connectivity Solutions for wireless infrastructure, automotive safety and radar systems. Headquartered in Connecticut (USA), Rogers operates manufacturing facilities in the United States, China, Germany, Belgium, Hungary, and South Korea, with joint ventures and sales offices worldwide. For more information, visit www.rogerscorp.com.
Title: Treasury Manager- Risk Management and Capital Markets
Requisition ID: 180000M6