Assistant Treasurer

Brown‑Forman CorporationLouisville, KY
1d

About The Position

Brown-Forman Corporation is a global leader in the spirits industry, building exceptional beverage alcohol brands for over 155 years. Headquartered in Louisville, Kentucky, our premium portfolio includes brands like Jack Daniel’s Family of Brands, Woodford Reserve, and Old Forester. With approximately 5,000 employees worldwide, we share our spirits in more than 170 countries. B-F’s centralized Treasury function in Louisville is characterized by: $2+ billion public debt portfolio $1+ billion in DB & DC plan investments $1+ billion notional multi foreign currency derivatives hedging program $900 million revolving credit facility What You Can Expect: The Assistant Treasurer's responsibilities are broad, serving as a strategic finance leader across all aspects of treasury including capital markets, risk management and treasury operations, reporting to the SVP Chief Accounting Officer and Treasurer.

Requirements

  • Experience: 10 to 15 years of broad finance experience within a global, complex company or financial institution.
  • Technical Expertise: Proven experience in corporate finance, public and private debt issuance, foreign exchange, banking relationships, rating agency relations, pensions, risk management, and global credit & collections. Strong grasp of GAAP and SEC public disclosure implications for all Treasury activities is essential.
  • Leadership and Communication: Strong leadership and people management skills, including talent development. Must have excellent written, oral, and presentation skills, with proven experience communicating across multiple organizational levels and cultures, including the Board of Directors.
  • Attributes: Ability to handle multiple priorities in a dynamic environment, with a self-motivated, proactive work ethic and a willingness to be hands-on in the business.
  • Education: MBA required.

Nice To Haves

  • CPA and/or CFA is highly preferred.

Responsibilities

  • Strategic Leadership and Organizational Development: Collaborating on strategic initiatives, identifying best practices in financial risk management, creating a clear vision for the Treasury organization, and implementing a development program for Treasury staff.
  • Capital Structure and Funding: Maintaining financial flexibility, strengthening the company's capital structure and capital deployment strategy, optimizing total shareholder return, and raising capital to support business plans and refinancing obligations, including M&A financing and risk mitigation.
  • Treasury Operations and Financial Risk Management: Overseeing cash management, cash forecasting, hedging program and other key treasury operations activities.
  • Investment Management: Partner with external advisors overseeing defined benefit and defined contribution plans and related investments.
  • Governance and Stakeholder Relations: Cultivating strong relationships with banks and rating agencies and developing and delivering presentations to the Board of Directors and Audit Committee on material treasury topics.
  • Compliance and Reporting: Overseeing responsibilities related to accounting and external reporting, including preparing SEC filings, applying disclosure controls and procedures, and ensuring compliance with internal and external policies.
  • Cross-Functional Coordination: Coordinating with tax, accounting, corporate development, FP&A, and legal departments on projects such as tax planning, cash repatriation, and legal entity capitalization.
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