Senior Treasury Analyst

DuPont
18hHybrid

About The Position

At DuPont, our purpose is to empower the world with essential innovations to thrive. We work on things that matter. Whether it’s providing clean water to more than a billion people on the planet, producing materials that are essential in everyday technology devices from smartphones to electric vehicles, or protecting workers around the world. Discover the many reasons the world’s most talented people are choosing to work at DuPont. Why Join Us | DuPont Careers Job Summary DuPont is seeking a highly analytical and collaborative Treasury Analyst to join its Corporate Treasury team. This role provides broad exposure across corporate insurance and risk financing, capital markets, and global cash management, with meaningful involvement in SEC reporting support, financial modeling, and ad hoc strategic initiatives. The position works closely with partners across Treasury, Controllership, Tax, Legal, and other corporate functions. Please note this is an onsite position with 4 days in the office and 1 day of remote work.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, Risk Management, or related field
  • 3+ years of relevant experience working in a similar corporate role
  • Strong understanding of corporate finance and financial markets
  • Advanced Excel-based financial modeling skills
  • Experience working cross-functionally with Accounting, Tax, Legal, or Audit

Responsibilities

  • Corporate Insurance & Risk Financing Support global corporate insurance programs including property, casualty, directors and officers, cyber, and specialty coverages
  • Collaborate with Legal, Controllership, and business stakeholders on exposure data, loss analysis, and renewals
  • Support debt issuance, refinancing, and liability management transactions
  • Maintain and improve interest expense, cash flow, and capital structure models
  • Partner with Controllership and Tax on accounting and tax considerations
  • Assist with rating agency analysis and peer benchmarking
  • Provide support for SEC reporting including 10-K and 10-Q disclosures
  • Support global cash positioning and liquidity forecasting
  • Analyze working capital drivers with Treasury Operations and business finance
  • Participate in banking structure and treasury system initiatives
  • Prepare dashboards and management reporting
  • Develop financial and risk models including scenario and sensitivity analysis
  • Assist in the development of free cash flow modeling/forecasting
  • Support cross-functional strategic and ad hoc treasury projects
  • Prepare executive-ready presentations for senior leadership

Benefits

  • DuPont offers a comprehensive pay and benefits package.
  • To learn more visit the Compensation and Benefits page.
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