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Church & Dwight

Treasury Manager

Church & Dwight, Trenton, New Jersey, United States, 08628

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Treasury Manager

A collective energy and ambition. A place where you can make a real difference. We're a company that genuinely cares about our people, our products, our consumers and the environment. Our unique, informal culture champions courage, determination and collaboration. Knowing we have an open and supportive team means each of us has the freedom to take responsibility and ownership. We have a shared passion to work hard, innovate and push boundaries. United by the belief that when we strive for growth, anything is possible. While we might not be the largest company in our industry, we believe we can have the biggest impact because: Together We Have the Power to Win. Job location: Hybrid (Ewing, NJ / Home Office) Role Summary

The Treasury Manager will be responsible for all development, implementation, and maintenance of global cash operations and systems. Additionally, he/she will support foreign exchange activity and global insurance programs. Role Accountabilities and Responsibilities

Oversee the treasury, investment, and cash management activities of the organization, ensuring that financial transactions, policies, and procedures meet corporate needs and objectives; design effective treasury and finance controls and policies

Manage payment strategy analysis and related projects within treasury and advise cross-divisionally in support of efforts to control expenses, enhance data security, and drive profitability related to customer payments

Identify cybersecurity and fraud risks within treasury processes and implement mitigation strategies as appropriate

Responsible for SOX audits as well as any additional internal and external audit requests

Conduct annual global bank account management audit

Provide FBAR, FATCA, DODD Frank, including record-keeping and data testing as required

Act as treasury lead/administrator for all IT systems, including, but not limited to, the treasury workstation (Kyriba), bank and investment portals, FXall, and GTreasury

Responsible for system installations and upgrades

Proactively identify and act on opportunities for process improvement; instill a continuous improvement mindset in teams

Create, maintain, and update treasury operational policies and procedures

Assist with company's bank relationship management

Coordinate and attend bank discussions related to treasury operations

Coordinate and support new market and new business set-up

Support M&A integration activities for acquired companies

Support centralized FX hedging with all international affiliates; interact with accounting/tax and IT to ensure proper recording and compliance

Execute FX hedging transactions and maintain current hedging documentation

Support long-term capital markets activities, including public debt offerings

Serve as backup for all corporate insurance program activity including renewal submissions, COI management, global claims management, contract review, captive management, annual insurance premium budgeting, and accounting for quarterly prepaid and workers' comp expenses

Education and Experience

Extensive Kyriba experience required

Cash forecasting experience required

Bachelor's degree in business administration, accounting, finance, or equivalent field

5 years+ of relevant treasury experience

Understanding of payment systems (FED, Swift, ACH, etc.) required

FX hedging and execution experience required

PowerBI and PowerAutomate knowledge strongly preferred; technical savvy required

Experience in corporate insurance strongly preferred but not required

Demonstrated ability to contribute in a fast-paced, acquisitive, growth company

CTP/CFA/MBA designation strongly preferred but not required

5% - 10% travel required, domestic and internationally

Skills and Competencies

Ability to communicate effectively with all professional levels, both internally and externally

Strong interpersonal, verbal, and written communication skills

Excellent organization skills, detail-oriented, adaptive to changing priorities, ability to manage multiple projects and tasks and meet deadlines

Strong analytical and creative problem-solving skills

Sound judgement and the ability to think objectively

Negotiation, collaboration and teamwork skills

Skilled in reading and interpreting documents such as insurance policies, contracts and procedure manuals

High level of discretion, as position involves routine exposure to confidential information

Ability to work in a fast-paced environment

Church & Dwight is proud to be an Equal Opportunity Employer/Veterans/Individuals with Disabilities.