Integer Holdings Corporation
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Integer Holdings Corporation provided pay range
This range is provided by Integer Holdings Corporation. Your actual pay will be based on your skills and experience talk with your recruiter to learn more. Base pay range
$106,500.00/yr - $156,200.00/yr Direct message the job poster from Integer Holdings Corporation The primary purpose of this position is to administer the Companys treasury systems, policies and procedures related to financial assets for the organization by performing the following duties personally or through subordinate reports. The position reports to the Corporate Controller and Treasurer. Accountabilities & Responsibilities: Adheres to Integers Values and all safety, environmental, security and quality requirements including, but not limited to: Quality Management Systems (QMS), Safety, Environmental and Security Management Systems, U.S. Food and Drug Administration (FDA) regulations, company policies and operating procedures, and other regulatory requirements. Manages all aspects of global cash management structure and reporting systems. Executes the administration of the Company's global debt structure and maintains relationships with various banking partners. Assists the Treasurer in analysis and development of alternative capital structures to achieve the Company's strategic objectives. Manages cash balances to maximize debt repayments and evaluates appropriate alternatives for investment of surplus cash. Administers the Companys global insurance programs including property, casualty, worker's compensation, product liability, directors and officers and other specialty coverages. Utilizes comprehensive knowledge and experience to lead the preparation of cash flow budgets and forecasts. Develop and execute working capital optimization strategies. Manages and administers foreign exchange and interest rate risk policies and hedging programs to protect against adverse consequences of foreign exchange and interest rate fluctuations. Monitors credit ratings of the Company's debt while supporting the relationships and interactions with pertinent rating agencies to enhance the ratings and minimize the cost of debt capital. Monitors compliance with credit agreements and indentures. Oversees the preparation of the quarterly compliance package provided to Lenders. Collaborate with Tax leadership to support the development and execution of strategies to manage the Companys repatriations, including intercompany loan balances, to reduce foreign currency and tax exposure. Lead the review and assessment of foreign currency exposure and recommend strategies to mitigate P&L volatility. Responsible for developing and/or maintaining policies and procedures for all areas of responsibility. Provides leadership to Associates in all areas including: hiring, performance management and objective setting, coaching, counseling and corrective actions. Manages team performance, development and training process to ensure a highly skilled and engaged workforce. Leads and provides guidance to staff members through continuous improvement and business process improvement activities. Performs other duties as required. Education & Experience: Minimum Education: Bachelors degree in Accounting or Finance. MBA preferred. Minimum Experience: At least 7 years financial services/treasury management experience including: capital/debt management, cash management, FX and interest rate hedging, insurance and financial services in a public, multinational, manufacturing business with a global treasury function. Knowledge & Skills: Special Skills:
Strong communication and interpersonal skills. Specialized Knowledge: Strong understanding of cash management systems and insurance markets. Expertise in financial modeling and performing analytical reviews. FX and interest rate derivative / hedging experience Expertise in cash flow forecasting / budgeting and analytics Cash management and repatriation expertise. Capital Structure and recapitalization experience Other: Proficient in use of MS Excel, Word, PowerPoint, Hyperion, MS Teams. Seniority level
Seniority level
Associate Employment type
Employment type
Full-time Job function
Job function
Finance Industries
Medical Equipment Manufacturing Referrals increase your chances of interviewing at Integer Holdings Corporation by 2x Inferred from the description for this job
Medical insurance Vision insurance 401(k) Paid maternity leave Paid paternity leave Disability insurance Tuition assistance Get notified when a new job is posted. Sign in to set job alerts for Treasurer roles.
Senior Treasury Portfolio Manager - Middle Office (Hybrid - see potential locations in description)
Clarence, NY $106,500.00-$156,200.00 2 days ago CBNA and US Entities Treasury Management - Business Execution and Governance Lead Analyst VP/C13 - GETZVILLE
Were unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr
This range is provided by Integer Holdings Corporation. Your actual pay will be based on your skills and experience talk with your recruiter to learn more. Base pay range
$106,500.00/yr - $156,200.00/yr Direct message the job poster from Integer Holdings Corporation The primary purpose of this position is to administer the Companys treasury systems, policies and procedures related to financial assets for the organization by performing the following duties personally or through subordinate reports. The position reports to the Corporate Controller and Treasurer. Accountabilities & Responsibilities: Adheres to Integers Values and all safety, environmental, security and quality requirements including, but not limited to: Quality Management Systems (QMS), Safety, Environmental and Security Management Systems, U.S. Food and Drug Administration (FDA) regulations, company policies and operating procedures, and other regulatory requirements. Manages all aspects of global cash management structure and reporting systems. Executes the administration of the Company's global debt structure and maintains relationships with various banking partners. Assists the Treasurer in analysis and development of alternative capital structures to achieve the Company's strategic objectives. Manages cash balances to maximize debt repayments and evaluates appropriate alternatives for investment of surplus cash. Administers the Companys global insurance programs including property, casualty, worker's compensation, product liability, directors and officers and other specialty coverages. Utilizes comprehensive knowledge and experience to lead the preparation of cash flow budgets and forecasts. Develop and execute working capital optimization strategies. Manages and administers foreign exchange and interest rate risk policies and hedging programs to protect against adverse consequences of foreign exchange and interest rate fluctuations. Monitors credit ratings of the Company's debt while supporting the relationships and interactions with pertinent rating agencies to enhance the ratings and minimize the cost of debt capital. Monitors compliance with credit agreements and indentures. Oversees the preparation of the quarterly compliance package provided to Lenders. Collaborate with Tax leadership to support the development and execution of strategies to manage the Companys repatriations, including intercompany loan balances, to reduce foreign currency and tax exposure. Lead the review and assessment of foreign currency exposure and recommend strategies to mitigate P&L volatility. Responsible for developing and/or maintaining policies and procedures for all areas of responsibility. Provides leadership to Associates in all areas including: hiring, performance management and objective setting, coaching, counseling and corrective actions. Manages team performance, development and training process to ensure a highly skilled and engaged workforce. Leads and provides guidance to staff members through continuous improvement and business process improvement activities. Performs other duties as required. Education & Experience: Minimum Education: Bachelors degree in Accounting or Finance. MBA preferred. Minimum Experience: At least 7 years financial services/treasury management experience including: capital/debt management, cash management, FX and interest rate hedging, insurance and financial services in a public, multinational, manufacturing business with a global treasury function. Knowledge & Skills: Special Skills:
Strong communication and interpersonal skills. Specialized Knowledge: Strong understanding of cash management systems and insurance markets. Expertise in financial modeling and performing analytical reviews. FX and interest rate derivative / hedging experience Expertise in cash flow forecasting / budgeting and analytics Cash management and repatriation expertise. Capital Structure and recapitalization experience Other: Proficient in use of MS Excel, Word, PowerPoint, Hyperion, MS Teams. Seniority level
Seniority level
Associate Employment type
Employment type
Full-time Job function
Job function
Finance Industries
Medical Equipment Manufacturing Referrals increase your chances of interviewing at Integer Holdings Corporation by 2x Inferred from the description for this job
Medical insurance Vision insurance 401(k) Paid maternity leave Paid paternity leave Disability insurance Tuition assistance Get notified when a new job is posted. Sign in to set job alerts for Treasurer roles.
Senior Treasury Portfolio Manager - Middle Office (Hybrid - see potential locations in description)
Clarence, NY $106,500.00-$156,200.00 2 days ago CBNA and US Entities Treasury Management - Business Execution and Governance Lead Analyst VP/C13 - GETZVILLE
Were unlocking community knowledge in a new way. Experts add insights directly into each article, started with the help of AI. #J-18808-Ljbffr