POSITION SUMMARY: The Manager of Treasury and Tax leads the strategy, execution and compliance of EnTrans cash flow. The successful candidate will drive the Treasury consolidation of the fragmented banking structure and gradually centralize the function. He/she will partner with the various business units on this integration. He/she prepares the daily cash position reporting and owns the weekly submission of cash compliance to EnTrans’ lenders. He/she will coordinate international cash transfers between US and foreign entities. He/she will coordinate placement of financial instruments to improve hedging on materials and currencies.
In addition to Treasury responsibilities this position partners with EnTrans’ various tax advisors and will own the follow through on key actions as he/she implements EnTrans’ tax strategy. The successful candidate will manage various concurrent tax projects and will partner with plant Controllers to ensure compliance at a local, state and federal levels. He/she will coordinate specific cash repatriation strategies while optimizing EnTrans effective tax rate. This position provides significant interface with the Corporate Controller, and Plant Controllers. He/she will provide weekly cash forecasts based on input by the plants.
Responsibilities of the position include the following:
Cash reporting: The positon owns a) daily process verifying balances on US domestic accounts and decides on borrowing or deposits to the EnTrans’ revolver go optimize the cash use – issue of the “EnTrans Daily Cash Position” report, b) weekly communication with lenders to ensure covenant compliance and c) calculation of borrowing base and other bank reporting
13 week cash forecast: Critical weekly process for cash planning and communication under the direct method (i.e. receipts and disbursements.) He/she coordinates the submissions from key locations. He/she validates assumptions and compares them with known business drivers and uses the indirect method to compare results.
WW Treasury Management: The Manager of Treasury and Taxes monitors and reports on cash positions and effectively transfers cash to the best locations to optimize borrowing. The successful candidate leads the bank account consolidation project and ensure bank fees are reduced. He/she will optimize international cash transfers and compliance on cash repatriation.
Tax Management: The successful candidate drives the implementation of tax strategies per the recommendation of EnTrans’ tax advisors. He/she partners with the various plant Controllers to ensure compliance at a local, state and federal level. He/she focuses on implementing tax incentive programs and drives reduction of the EnTrans’ effective tax rate.
Hedging: He/she assist in decisions of hedging of aluminum and nickel. Executes derivatives contracts on a timely manner.
Qualifications and desired attributes:
Job Type: Full-time
Pay: $100,000.00 – $150,000.00 per year
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