C&G Consulting Services Inc
Overview
Job Summary This position is responsible for supporting and leading various activities related to Cash Forecasting and Treasury Reporting, Corporate Model Updates and Interest Expense Forecasting, Finance Committee and Investor Presentations, Financing Plans and Execution, Regulatory support, Covenant Compliance and SEC Disclosures. Job Type 6-MONTH CONTRACT Responsibilities
Support short-term cash forecasting process and development of financing plans; prepare monthly treasury reports including debt schedules and embedded cost of debt Prepare Treasury updates for the corporate planning process including financings, interest rates and expense projections, credit metric calculations Support presentations for the Finance Committee and Investment Community including sources/uses of cash, credit metric projections, and debt capacity estimates Prepare presentations to rating agencies including management and financial updates and support due diligence requests; monitor and report on rating agency research Support capital market transaction activities including analyzing financial alternatives, due diligence for bond underwriters, bond pricing models, hedging models using Bloomberg Perform treasury compliance including SEC filings, internal audits, and SOX controls Qualifications
Job Specific Qualifications Bachelors degree in accounting, finance, engineering, economics or related degree 5-7 years experience; Accounting, finance, engineering, economics or related field Other Qualifications Possesses financial and analytical skills Possesses understanding of financial statements, corporate finance, and capital markets Possesses understanding of corporate finance, capital markets, and credit ratings Possesses communication skills and ability to prepare management presentations Ability to collaborate in teams and engage with stakeholders Ability to achieve results and assume accountability Seeks to proactively meet internal customer needs MBA, CPA, MS Economics/Finance, or CFA. Ability to effectively communicate with senior managers Education & Experience
Minimum Years of Experience: 5 years Education: Bachelors in Accounting or Finance; Bachelor in Economics or Engineering Employment & Seniority
Seniority level: Associate Employment type: Contract Job function: Finance Industries: Staffing and Recruiting Note: This listing may include related roles and postings from the publisher. Only information relevant to the current role is retained here. #J-18808-Ljbffr
Job Summary This position is responsible for supporting and leading various activities related to Cash Forecasting and Treasury Reporting, Corporate Model Updates and Interest Expense Forecasting, Finance Committee and Investor Presentations, Financing Plans and Execution, Regulatory support, Covenant Compliance and SEC Disclosures. Job Type 6-MONTH CONTRACT Responsibilities
Support short-term cash forecasting process and development of financing plans; prepare monthly treasury reports including debt schedules and embedded cost of debt Prepare Treasury updates for the corporate planning process including financings, interest rates and expense projections, credit metric calculations Support presentations for the Finance Committee and Investment Community including sources/uses of cash, credit metric projections, and debt capacity estimates Prepare presentations to rating agencies including management and financial updates and support due diligence requests; monitor and report on rating agency research Support capital market transaction activities including analyzing financial alternatives, due diligence for bond underwriters, bond pricing models, hedging models using Bloomberg Perform treasury compliance including SEC filings, internal audits, and SOX controls Qualifications
Job Specific Qualifications Bachelors degree in accounting, finance, engineering, economics or related degree 5-7 years experience; Accounting, finance, engineering, economics or related field Other Qualifications Possesses financial and analytical skills Possesses understanding of financial statements, corporate finance, and capital markets Possesses understanding of corporate finance, capital markets, and credit ratings Possesses communication skills and ability to prepare management presentations Ability to collaborate in teams and engage with stakeholders Ability to achieve results and assume accountability Seeks to proactively meet internal customer needs MBA, CPA, MS Economics/Finance, or CFA. Ability to effectively communicate with senior managers Education & Experience
Minimum Years of Experience: 5 years Education: Bachelors in Accounting or Finance; Bachelor in Economics or Engineering Employment & Seniority
Seniority level: Associate Employment type: Contract Job function: Finance Industries: Staffing and Recruiting Note: This listing may include related roles and postings from the publisher. Only information relevant to the current role is retained here. #J-18808-Ljbffr