Manager of Treasury & Investor Relations

Job Locations US-Remote US | CA-Remote Canada
ID
2022-1400
Category
Corporate
Position Type
Regular Full-Time

About Us

EagleView® is a leading provider of aerial imagery, property insights and software that transforms the way people work. EagleView holds more than 300 patents and owns a large geospatial data and imagery library encompassing 94 percent of the US population. EagleView provides the most accurate data, enabling customers in the government, construction, solar and insurance industries to make timely, informed and better decisions.


EagleView offers competitive pay and robust benefit plans along with the opportunity to grow your career in a fast-paced, fun and casual environment.

Overview

EagleView is currently hiring for a Manager of Treasury and Investor Relations. 

 

The Manager of Treasury and Investor Relations provides strategic advice and insightful financial analysis to senior management while acting as the critical link between the Finance, Accounting, and Treasury departments. In this cross-functional role, the successful candidate will manage strategic projects including debt transactions and cost optimization initiatives, and oversee recurring mission-critical tasks such as quarterly earnings calls, relationship management with credit rating agencies, and management of cash, debt servicing, and global bank accounts. The right person for this role is a leader with a passion for developing and communicating financial insights. This dynamic role offers exposure to key leaders in the organization and significant variety, flexibility, and learning opportunities.

 

This position is fully remote! The role offers significant autonomy over when, where and how to complete your work.

 

Responsibilities

Treasury:
• Management of short, medium, and long-term cash forecasts to support liquidity analysis and investment strategy
• Debt management, payments, and compliance requirements
• Oversee daily cash operations processes, and create standardized activity and KPI reporting on a consolidated and country-level basis
• Serve as process owner and subject matter expert on various global treasury processes and services
• Lead worldwide banking relationships and online banking systems/processes
• Assist with system implementation projects to improve automation
• Approve and manage wires through various banking portals and exchange currency
• Participate in negotiating terms and documentation for capital market & derivative transactions and bank financing, including covenants restricting the Company’s operations and financial flexibility
• Lead the integration of M&A activities for the treasury function
• Provide value-added analysis on ah-hoc projects as required

 

Investor Relations:
• Management of the lender call process including creating all materials and scripts and preparing senior management for the call
• Develop, design, and implement the Company's investor relations strategies and programs
• Support the strategic planning process in assessing the Company’s capacity to finance capital expenditures and its implications on the credit rating
• Provide advice and guidance to senior management in the areas of debt financing strategy, interest rate risk management strategy, financing policy, and assess accounting, tax, credit rating, and regulatory implications of financing options
• Develop and maintain effective relationships with lenders and other creditors, corporate debt research analysts, and credit rating agencies

 

Qualifications

• Bachelor’s Degree in Finance, Accounting, Mathematics, or related field
• At least 4 years of relevant experience in a Finance, Treasury, or Investor Relations function
• Ability to construct, maintain and review a financial model
• Proficient at developing innovative solutions to complex problems
• Ability to lead and manage complex, cross-functional projects
• Strong discipline and drive, track record of meeting deadlines and achieving results
• Ability to work with unstructured, imperfect, or incomplete data
• Written communication skills, experience preparing management or board presentations, synthesizing financial and non-financial data
• Verbal communication skills, particularly explaining complex topics simply
• Excellent attention to detail
• Highly proficient with Microsoft Excel and PowerPoint
• CPA, CFA or MBA designation is a plus (or international equivalent)
• Experience with NetSuite is a plus

EEO Statement

EagleView® and its subsidiaries are committed to leveraging the talent of a diverse workforce to create opportunities for our business and our people. EEO/AA Minority/Female/Disability/Veteran.

 

Eagleview is an Equal Opportunity, Affirmative Action and E-Verify Employer, committed to a diverse workforce. 

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