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Treasury Manager, Capital Markets

Job in New York, New York County, New York, 10261, USA
Listing for: Nielsen
Full Time position
Listed on 2026-09-15
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager
Salary/Wage Range or Industry Benchmark: 140000 - 210000 USD Yearly USD 140000.00 210000.00 YEAR
Job Description & How to Apply Below

Company Description

At Nielsen, we are passionate about our work to power a better media future for all people by providing powerful insights that drive client decisions and deliver extraordinary results. Our talented, global workforce is dedicated to capturing audience engagement with content - wherever and whenever it’s consumed. Together, we are proudly rooted in our deep legacy as we stand at the forefront of the media revolution.

When you join Nielsen, you will join a dynamic team committed to excellence, perseverance, and the ambition to make an impact together. We champion you, because when you succeed, we do too. We enable your best to power our future

Company Description

At Nielsen, we are passionate about our work to power a better media future for all people by providing powerful insights that drive client decisions and deliver extraordinary results. Our talented, global workforce is dedicated to capturing audience engagement with content - wherever and whenever it’s consumed. Together, we are proudly rooted in our deep legacy as we stand at the forefront of the media revolution.

When you join Nielsen, you will join a dynamic team committed to excellence, perseverance, and the ambition to make an impact together. We champion you, because when you succeed, we do too. We enable your best to power our future

Job Description

Nielsen is seeking a Treasury Manager, Capital Markets to lead key capital markets activities across the treasury function. This role is responsible for managing debt and credit facilities, driving cash flow forecasting, supporting debt investor relations, overseeing financial risk management activities, and coordinating pension investment oversight. The role partners closely with internal stakeholders and external financial partners, and prepares materials for senior leadership audiences including the Board of Directors, Executive Committee, and Sponsors.

Key Responsibilities Debt and Credit Facility Operations
  • Manage Nielsen's revolving credit facility and AR securitization facility.
  • Oversee borrowing activity and the payment of principal, interest, and fees.
  • Manage loan rollovers and interest rate selections.
  • Lead debt covenant compliance reporting.
  • Coordinate the distribution of financial reports and disclosures to lenders.
  • Manage monthly AR securitization reporting and support the annual facility audit.
  • Obtain letters of credit and manage amendments as needed.
Cash Flow Forecasting
  • Drive Nielsen's corporate cash flow forecast and long-term strategic cash forecast.
  • Coordinate forecasting inputs and activities across Treasury Operations, FP&A, Tax, and other corporate teams.
Reporting and Executive Presentations
  • Prepare presentation materials and reporting for Board presentations, Sponsor Monthly Operating Reviews (SMOR), and Sponsor cash flow presentations.
  • Develop clear, senior-ready materials for key internal and external stakeholders.
Capital Transactions
  • Coordinate the planning and execution of long-term debt issuance and hedging activities.
  • Manage settlement of derivative transactions.
  • Support M&A due diligence and transaction execution.
Pension Investment Management
  • Coordinate fiduciary oversight of US pension investments through the pension investment committee.
  • Support corporate oversight of non-US pension investments.
Team Leadership
  • Train, develop, and manage the Capital Markets Analyst.
Additional Responsibilities
  • Manage relationships with banks and credit rating agencies.
  • Track and provide insights to the Treasurer on developments in Nielsen's capital structure, liquidity facilities, and lender community.
  • Partner with Financial Reporting, FP&A, Legal, executive team members, and private equity sponsor teams.
  • Support cash management activities, including approval of wire transfers.
  • Maintain treasury website content related to debt, interest, and derivative instruments.
  • Coordinate with Legal on financial institution know-your-customer (KYC) requests.
Qualifications
  • Bachelor's degree in Finance, Business, Economics, or another quantitative discipline.
  • CFA charter or progress toward CFA charter is a plus.
  • 5-10 years of finance experience, with prior treasury capital markets experience preferred.
  • Strong analytical and problem-solving skills.
  • Ability to build constructive relationships with leaders and colleagues across the organization.
  • Strong work ethic, self-motivated work style, attention to detail, and effective communication skills.
  • Experience working in a private equity-owned company is a plus.
  • Excellent…
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