Director of Treasury

New Today

General Summary This position is responsible for assessing, planning and managing the financial position of the Company in a fiscally sound manner, consistent with the Company’s objectives and strategic plans, to positively affect the Company’s profitability, while ensuring that strong relationships are maintained with external financial partners.
Essential Job Accountabilities Understand and oversee the management of capital structure; responsibilities include all aspects of strategic and tactical financial planning related to the equity/debt portfolios, development of long-term forecasts and management of capital allocation process to optimize the Company’s capital structure
Manage and coordinate strategy for raising capital (debt, stock, other), deploying capital (including stock repurchases) and serving as corporate “cash flow champion.” Oversee execution of company financing agreements including deal execution and maintenance as well as covenant compliance in a manner consistent with Company’s policies and procedures.
Actively participate in monitoring the investment performance of qualified and non-qualified deferred compensation plans in a manner consistent with Company’s policies and procedures.
Identify opportunities to improve the treasury processes, drive efficiencies and work on and lead cross-functional project teams to achieve Company objectives.
Oversee the management and optimization of the Company’s capital structure, including all aspects of strategic and tactical financial planning related to the equity/debt portfolios, development of long-term forecasts and management of capital allocation process to ensure consistency with management goals.
Analyze, manage and execute the Company’s strategy for raising capital (debt, stock, other), deploying capital (including stock repurchases) and serving as the corporate “cash flow champion.”
Oversee and lead the execution of Company’s financing agreements as well as covenant compliance in a manner consistent with Company’s policies and procedures.
Actively participate in monitoring the investment performance of qualified and non-qualified deferred compensation plans in a manner consistent with Company’s policies and procedures.
Assist Treasurer in the review and administration of the corporate Limits of Authority to ensure consistency within the organization.
Oversee credit analysis and advise appropriate limits and terms for counterparty credit exposures to minimize potential Company losses.
Prepare analysis of, recommend and implement hedge strategies to manage financial risks in line with the company’s objectives and policies including interest rate, FX, and commodities.
Manage economic analyses of financing alternatives including lease vs. buy analysis, alternative debt instruments, and cost of capital consistent with the Company’s policies and objectives.
Education Bachelor’s degree in Management, Accounting, Finance, or Economics required
Master of Business Administration (MBA) and/or Certified Treasury Professional (CTP) designation strongly preferred
Work Experience 10+ years’ experience in corporate finance or treasury field
5+ years management/supervisory experience
Extensive experience independently managing capital markets and loan transactions, including review and negotiation of key agreements
Experience analyzing, executing and managing interest rate, FX and commodity derivative hedges, along with designing and executing FX hedges
Construction industry and/or Merger and Acquisitions (M&A) experience a plus
Knowledge, Skills and Abilities Experience in presenting and preparing presentations and proposals
Experience in leading, coaching and developing staff and teams
Extensive knowledge of investments, banking, corporate finance and financial instruments
Intermediate knowledge of Generally Accepted Accounting Principles (GAAP) and U.S. Securities and Exchange Commission (SEC) reporting requirements for financial transactions
Experience building complex financial models
Experience using Bloomberg a plus
Proven analytical, project management and organizational skills.
Ability to manage financial transactions from inception to completion, including negotiation of full agreements with financial institutions and law firms with limited assistance
Demonstrated excellence in undertaking financial and strategic analysis
Demonstrated ability to multi task and work effectively under tight timelines and changing priorities
Strong executive-level and C-suite presentation skills
Team player who can operate effectively within a matrixed management environment and can effectively resolve interdepartmental conflicts
Sound decision making ability with the experience to balance consensus against authority as appropriate
Motivated to seek out alternative ideas and the ability to drive change
Excellent team leadership skills
Knowledge of hedge accounting requirements, statistics, correlation, and regression analysis
Advanced proficiency in Microsoft Excel, above average proficiency of Microsoft Word and Microsoft PowerPoint
Knowledge of Treasury systems and settlement processes
Knowledge of Hyperion SF a plus
Physical Demands
The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. While performing the duties of this job, the employee is regularly required to talk and hear. The employee frequently is required to stand, walk, sit and use hands to operate a computer keyboard. The employee is occasionally required to reach with hands and arms. The employee must occasionally lift and/or move up to 10 pounds. Specific vision abilities required by this job include close vision, and ability to adjust focus. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
Additional Requirements/Skills Comply, understand, and support corporate safety initiatives to ensure a safe work environment
Ability and willingness to abide by the Company’s Code of Conduct
Valid driver’s license
Occasional travel, some overnight, as required
Our Benefits at a Glance: Building tomorrow starts with you, and Granite knows that you can excel only if we support you in and out of the workplace.  That is why we offer a broad benefits package that includes paid holidays, sick leave, medical, dental, vision, life insurance, disability insurance, flexible spending plans, as well as special programs for musculoskeletal health, mental wellness, and more.
Salaried employees may choose from two PPO medical plans through Anthem BlueCross, including our most popular plan, for which 100% of the premium is paid by Granite for eligible employees and dependents.  Employees can also opt into a Health Savings Account (HSA) or a Flexible Spending Account (FSA).
As part of our investment in your future outside of the workplace, Granite provides a 100% match on the first 6% of eligible compensation that salaried employees defer into their 401(k) plans, which vests immediately.
Benefits may vary for positions located outside of the continental United States.
Base Salary Range: $164,026.00 - $246,039.00 Pay may vary based upon relevant experience, skills, location, and education among other factors.  ​
Location:
The Woodlands