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Senior Manager, Corporate Finance

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Aflac

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Location:
United States , Columbus

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Category:

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Contract Type:
Not provided

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Salary:

185460.00 - 190000.00 USD / Year

Job Responsibility:

  • Contribute to and develop global capital markets strategy for Aflac related to accessing global debt capital markets and managing foreign exchange risk, including planning and execution
  • Identify opportunities and strategies relative to Aflac's FX risk profile, mainly Japanese Yen denominated, to mitigate risk and lower costs
  • Oversee and perform sensitivity FX and interest rate analysis on status quo and pro-forma derivative portfolios
  • Assist in negotiating ISDA/CSA documents with counter parties including Japanese financial institutions
  • Assist in debt raising and credit facility analysis and execution, including terms, due diligence, internal communication, and related activities
  • Develop and leverage internal partnerships with FP&A, Tax, Legal, Financial Reporting, Accounting Policy, Investor and Rating Agency Relations, etc. and external partnerships with counsel, banks, accounting firms, and networks to maximize the achievement of team and corporate goals
  • Lead corporate finance modeling, liquidity, and capital structure optimization analysis and clearly communicate analysis and recommendations to senior management
  • Support strategic analysis, financial modeling, reporting on derivative activity, reporting on capital markets activity, and approval requests for capital markets activity for Aflac's leadership team, both on a recurring and ad hoc basis
  • Perform other duties as required

Requirements:

  • Must have a Bachelor’s degree in Finance, Accounting, Economics, or a related quantitative field plus at least 10 years of progressive experience in corporate finance positions
  • Must have at least 5 years of experience in a supervisory/managerial capacity in corporate finance space performing the following duties: Overseeing the collection of capital policy and funding information to support global treasury teams in aligning with strategic objectives
  • Sharing insights on financial markets and regulatory trends, focusing on U.S. and Japan financial environments
  • Managing team members in effectively utilizing financial and operational information
  • Liaising with cash operations and corporate finance teams as part of ongoing business activities
  • Providing leadership and guidance in developing capital strategies tailored to unique organizational needs
  • Exploring and evaluating cash management systems in collaboration with global treasury counterparts
  • Developing funding and liquidity risk management strategies from a global perspective
  • Leading cross-functional teams to achieve project goals across multiple initiatives, including system conversions, capital efficiency improvements, and inaugural bond issuances
  • Coordinating with internal and external stakeholders such as executive leadership, regulatory agencies, legal counsel, and auditors to ensure alignment and compliance
  • Managing complex project timelines and deliverables while maintaining clear communication across diverse stakeholder groups
  • Overseeing multi-billion-dollar derivative strategy execution and conducting related risk modeling analysis
  • Analyzing and negotiating optimal dividend schedules based on projected earnings, foreign exchange volatility, and derivative exposure
  • Authoring executive-level materials for finance and investment committees, capital strategy groups, and board meetings

Additional Information:

Job Posted:
January 18, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

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