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Randstad USA

Manager, Investor Relations Finance and Treasury

Randstad USA, California, Missouri, United States, 65018

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Manager, Investor Relations Finance and Treasury

Leading investment company is looking for a Manager of Investor Relations/Treasury Finance to join their growing team. You will be responsible for a variety of initiatives and projects in support of the company’s investor relations and treasury management efforts. This position has visibility with the executive leadership team and collaborates with planning and analytics, accounting and external reporting, as well as legal, risk, marketing and other departments. The Manager will build ongoing relationships with external constituencies such as rating agency analysts, securities analysts and investors, and will work with business partners such as the company’s external investment manager, banks, IR services vendors and auditors. Base pay range

$120,000.00/yr - $160,000.00/yr Responsibilities

Manage all preparations for quarterly earnings announcements, including developing first drafts of press releases, script outlines and Q&A documents for management review Manage and develop presentations for investor marketing, ratings agencies and board reporting Manage review and approval of IR materials, including tie-outs with accounting and legal sign-off Maintain detailed summary of analyst models and track expectations relative to company forecasts Develop and maintain competitive benchmarking Collect and synthesize market information for presentations, including metrics related to unemployment rates, consumer credit, the housing market and interest rates Prepare written briefings for management summarizing analysis of competitive, market and regulatory developments, earnings reports and analyst comments related to peer companies Maintain a liquidity projection model – a working forecast of cash inflows and outflows across all legal entities Propose strategies to reduce idle cash balances and maximize interest income Work with the external investment manager to monitor credit activity in the company’s $3.1 billion fixed income bond portfolio and advise management of noteworthy credit developments Prepare the quarterly Investment Portfolio presentation for the Risk Committee of the Board Work with the FP&A team to maintain a working forecast of investment income Requirements

5+ years of public accounting, finance or related experience Experience with insurance, capital markets or FP&A preferred Salary

$120-160K + annual bonus, stock options Seniority level

Mid-Senior level Employment type

Full-time Job function

Finance and Accounting/Auditing Industries

Investment Management

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