Director of Global Treasury Debt & Capital Markets
Listed on 2026-02-28
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Finance & Banking
Corporate Finance, Financial Manager, CFO, Risk Manager/Analyst -
Management
Financial Manager, CFO, Risk Manager/Analyst
Simplot is a family-owned, privately held global food and agriculture company headquartered in Boise, Idaho. Its integrated portfolio of companies includes food processing and food brands, phosphate mining, fertilizer manufacturing, farming, ranching and cattle production, and other enterprises related to agriculture. Simplot has major operations in nine countries with products and services available to customers worldwide.
SummaryThis Director role is a senior advisor and key leader within the global treasury organization, reporting to the Vice President & Treasurer. This role is responsible for shaping and executing debt financing strategy, liquidity management, capital structure optimization, treasury operations, and global stakeholder engagement across a privately held, multinational food and ag company. The Director will partner with the Treasurer to lead analysis, execution, and lender engagement across complex domestic and international credit structures while ensuring rigorous covenant compliance, strong liquidity planning, and alignment with long‑term strategic objectives.
This role influences major financing decisions and acts as a strategic partner to senior executives, including the CFO office and business unit leadership.
- Partner with the Treasurer to analyze, structure, negotiate, and execute domestic and international debt facilities, including refinancings, amendments, repricings, and capital raising transactions.
- Evaluate market conditions and develop well‑supported recommendations on debt capital structure, cost of capital, tenor, security, and flexibility.
- Support the Treasurer in assessing bank capabilities and strategically managing wallet share across domestic and international banks.
- Partner with the Treasurer and CFO to ensure financing strategies align with enterprise growth priorities and do not conflict with existing agreements and ownership objectives.
- Own ongoing compliance with complex, multi‑facility domestic and international credit agreements.
- Interpret and manage financial, negative, and affirmative covenants.
- Oversee covenant modeling, forecasting, and headroom analysis across base case, downside, and acquisition scenarios.
- Prepare and coordinate all reporting obligations including compliance certificates, borrowing reports, lender notices, and other required deliverables.
- Proactively identify covenant risks and partner with Treasurer to lead amendment, waiver, or consent processes with lenders and investors.
- Collaborate with senior treasury leadership and regional finance teams to develop and implement global liquidity strategies to ensure flexible, resilient, and cost‑effective funding across regions, including North America, South America, EMEA, and APAC.
- Oversee the cash flow forecasting process, including variance analysis, stress testing and liquidity reporting.
- Collaborate with treasury leaders, finance, legal, tax and other key stakeholders to oversee global cash management policies, bank account structures, and related controls, ensuring compliance with AML, regulatory, and cross‑border funding requirements.
- Collaborate with senior treasury leadership team to manage relationships with financial institutions supporting cash management, payment services, investment activities, and working capital programs.
- Work cross‑functionally across the globe to establish robust treasury policies, operational controls, and process improvements to ensure efficiency, accuracy, and continuity.
- Partner with enterprise FP&A and business development teams to assess acquisition/divestiture financing capacity, covenant impact, and structural considerations.
- Lead debt‑related due diligence, integration of acquired facilities, and alignment of post‑close covenant and reporting structures.
- Support capital planning processes including multi‑year financing needs, capital structure optimization, and enterprise‑level risk assessment.
- Provide analytical and transactional support on major strategic initiatives such as greenfield expansions,…
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