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As a Senior Manager of Capital Markets, you will play a critical role in supporting the company’s capital markets strategy. This position leads financial modeling and analysis to evaluate funding options, optimize capital structure, and support execution of debt and equity transactions. You will monitor market conditions, assess financing opportunities, and provide actionable insights to senior leadership. The role requires strong analytical skills, a deep understanding of capital markets, and the ability to deliver timely, data-driven recommendations that influence strategic decisions. Partners with business units to ensure capital markets strategies are effectively executed and aligned with corporate objectives. Supports the company’s access to global financing by analyzing market trends, evaluating funding options, and optimizing capital structure. Performs advanced financial modeling and analysis across debt, equity, and liquidity management to inform strategic decisions. Leads forecasting and scenario planning for cash flow, interest expense, and capital requirements, ensuring alignment with enterprise goals. Maintains compliance with GAAP and internal financial policies while upholding fiduciary responsibility for accurate reporting to internal stakeholders and external parties. Implements and monitors strong financial controls to safeguard assets and ensure transparency in all capital markets activities.
Job Responsibility:
Provides complex and occasionally highly complex financial analysis
Consults with business leaders to guide and influence strategic decision-making
Forecasts financial results within a broad scope
Leads business initiatives, typically leading analysts across multiple sub-functions within finance
Identifies opportunities for process improvement and policy development and engages in the design
Represents Treasury during cross-regional or cross-functional planning processes
Provides mentoring and guidance to analysts
Requirements:
First-level university degree with a focus in business or economics
advanced degree or accounting certification (e.g., CPA, MBA) preferred
Typically, 6+ years of experience as a financial analyst
Typically experienced in more than one finance function
Excellent understanding of accounting principles and financial analysis
Excellent analytical skills
Excellent business application skills (e.g., Microsoft Excel)