Manager - Treasury
Listed on 2026-06-01
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Finance & Banking
Corporate Finance, Financial Analyst
Job : 1093
Alternate Locations:
Newell Brands is a leading $8.3B consumer products company with a portfolio of iconic brands such as Graco®, Coleman®, Oster®, Rubbermaid® and Sharpie®, and 25,000 talented employees around the world. Our high-performance culture, unparalleled curiosity about the world around us, and talented people fuel our success. Our culture is enabled through our core values which guide all we do and how we win as One Newell.
They are Integrity, Teamwork, Passion for Winning, Ownership & Leadership.
Newell Brands is seeking a motivated professional to join the capital markets team. The team is the group within global treasury that ensures the company manages currency exposure, capital planning strategy, debt, liquidity and rating agency relationships. The position will be a Hybrid role.
Responsibilities- Actively monitor capital markets and economic data and provide senior management with regular analysis, market updates and emerging trends.
- Help propose and execute various capital market and foreign exchange transactions.
- Analytical support for financing related activities including financial modeling, risk management analysis, report generation, and collaboration with the treasury operations and business planning teams.
- Assist in the preparation of monthly reporting related to capital market and foreign exchange activities.
- Assist in the preparation of ad-hoc presentations for senior management.
- Produce and communicate detailed financial analyses related to company’s capital structure, derivatives, and/or proposed transactions.
- Assist in the development of treasury policies and procedures.
- Assist in the preparation of 10Q / 10K treasury support and footnote information.
- Help maintain financial instrument data in treasury system.
- Understand and help manage global cash flow and balance sheet FX hedging programs if needed.
- Help manage relationships with banking partners and rating agencies.
- Advanced Excel, Modeling and PowerPoint skills.
- Strong understanding of accounting, including hedge accounting and transactional impact to financial statements and forecast.
- Motivated, resourceful, and self-reliant candidates who are curious, innovative and interested in working in a fast paced and demanding work environment.
- Team-oriented mindset.
- Demonstrated success and proven ability to think critically, multi-task, adhere to strict guidelines, work well with others, and complete tasks with discretion, accuracy and attention to detail.
- Bachelor’s degree required preferably Finance, Economics, or Accounting.
- 3-8 years of meaningful experience at a publicly traded multinational company.
- Excellent analytical and problem-solving skills.
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