Senior Manager

NikeBeaverton, OR
Remote

About The Position

Senior Manager – Nike Inc. - Beaverton, OR. Develop and implement strategies for capital markets transactions, including issuance of debt instruments such as bonds, commercial paper, and credit facilities. Oversee cash forecasting and liquidity management to ensure adequate funding for operational and strategic requirements. Conduct financial modeling and scenario analysis to support capital structure and funding decisions. Monitor interest rate, foreign exchange, and credit markets to identify and assess financial risks and opportunities. Collaborate with internal departments including Finance, Accounting, Tax, Legal, and Risk to structure and execute financing activities. Manage relationships with banks, investors, rating agencies, and other financial institutions. Ensure compliance with internal controls, regulatory standards, and financial reporting requirements. Prepare and deliver periodic reports and presentations on funding activities, liquidity position, and market developments to senior leadership. Supervise and provide guidance to junior team members in treasury and capital markets functions. Telecommuting is available from anywhere in the U.S., except from AK, AL, AR, DE, HI, IA, ID, IN, KS, KY, LA, MT, ND, NE, NH, NM, NV, OH, OK, RI, SD, VT, WV, and WY. Must have a Master’s degree in Business Administration , Economics or Finance and 2 years of experience in the job offered or in a business- related occupation. Position requires: Financial systems ( e.g. SAP, Bloomberg) FP&A systems ( e.g. Anaplan, COGNOS) Modeling & visualization tools ( e.g. Excel, Power BI) Advanced financial forecast modeling (inc. Balance Sheet & Cash Flow) Financial analysis & benchmarking (inc. What-if Scenarios, Peer Comparison) Valuation methodologies (inc. Discounted Cash Flow Valuation and WACC) Preparing and Delivering CFO-level presentations Develop and execute key strategic initiatives (inc. Long-term Plan, Capital Planning Strategy, Share Repurchase Program) Proven track record of leading cross-functional projects (FP&A, controlling, tax, business operations) Apply at www. Nike.com/Careers ( Job# R-81959 ) #LI-DNI We offer a number of accommodations to complete our interview process including screen readers, sign language interpreters, accessible and single location for in-person interviews, closed captioning, and other reasonable modifications as needed. If you discover, as you navigate our application process, that you need assistance or an accommodation due to a disability, please complete the Candidate Accommodation Request Form .

Requirements

  • Must have a Master’s degree in Business Administration , Economics or Finance and 2 years of experience in the job offered or in a business- related occupation.
  • Financial systems ( e.g. SAP, Bloomberg)
  • FP&A systems ( e.g. Anaplan, COGNOS)
  • Modeling & visualization tools ( e.g. Excel, Power BI)
  • Advanced financial forecast modeling (inc. Balance Sheet & Cash Flow)
  • Financial analysis & benchmarking (inc. What-if Scenarios, Peer Comparison)
  • Valuation methodologies (inc. Discounted Cash Flow Valuation and WACC)
  • Preparing and Delivering CFO-level presentations
  • Develop and execute key strategic initiatives (inc. Long-term Plan, Capital Planning Strategy, Share Repurchase Program)
  • Proven track record of leading cross-functional projects (FP&A, controlling, tax, business operations)

Responsibilities

  • Develop and implement strategies for capital markets transactions, including issuance of debt instruments such as bonds, commercial paper, and credit facilities.
  • Oversee cash forecasting and liquidity management to ensure adequate funding for operational and strategic requirements.
  • Conduct financial modeling and scenario analysis to support capital structure and funding decisions.
  • Monitor interest rate, foreign exchange, and credit markets to identify and assess financial risks and opportunities.
  • Collaborate with internal departments including Finance, Accounting, Tax, Legal, and Risk to structure and execute financing activities.
  • Manage relationships with banks, investors, rating agencies, and other financial institutions.
  • Ensure compliance with internal controls, regulatory standards, and financial reporting requirements.
  • Prepare and deliver periodic reports and presentations on funding activities, liquidity position, and market developments to senior leadership.
  • Supervise and provide guidance to junior team members in treasury and capital markets functions.
© 2024 Teal Labs, Inc
Privacy PolicyTerms of Service