Associate Director, Treasury (remote working UK & Ireland)
Company: Jazz Pharmaceuticals
Location: Dublin
Posted on: May 13, 2022
Job Description:
Jazz Pharmaceuticals plc (NASDAQ: JAZZ) is a global
biopharmaceutical company whose purpose is to innovate to transform
the lives of patients and their families. We are dedicated to
developing life-changing medicines for people with serious diseases
- often with limited or no therapeutic options. We have a diverse
portfolio of marketed medicines and novel product candidates, from
early- to late-stage development, in neuroscience and oncology. We
actively explore new options for patients including novel
compounds, small molecules and biologics, and through cannabinoid
science and innovative delivery technologies. Jazz is headquartered
in Dublin, Ireland and has employees around the globe, serving
patients in nearly 75 countries. For more information, please visit
and follow @JazzPharma on Twitter. A fantastic opportunity to join
a well-established Corporate Treasury function based out of Dublin,
Ireland. The Associate Director, Treasury will provide analytical
support to decisions related to capital allocation, financial risk
management and operational financing. In addition, the individual
will take responsibility for the treasury management system and
coordinate process improvement and automation efforts for the
Treasury Department. Over time, this position will gain exposure to
all areas within the Corporate Treasury department as cross
training is provided to ensure coverage across the Treasury team.
Essential Functions
- Assist with the preparation of the quarterly Budget/Latest
Estimates (LE) interest expense forecasts for the Group taking into
consideration GAAP and non-GAAP interest expense line items
- Assist with the design, build and maintenance of a Treasury
cash flow forecast model and process
- Partner with teams in Accounting, FP&A and Tax to align
assumptions and enhance the cash flow forecasting process, taking
into consideration impact of working capital, accounting policies
and capital projections
- Responsible for the administration of the group's debt
portfolio i.e. principal and interest repayments on the revolving
credit facility, term loans and bond offerings and related
intercompany borrowings
- Provide support and evaluate debt risk management initiatives
including interest rate and foreign exchange hedging where
appropriate
- Provide support and assess derivative strategies with respect
to FX risk management activities
- Develop and maintain relationships with key banking partners to
assess risk mitigation techniques and hedging instruments
- Maintain adherence with debt agreements and policies and assist
with the preparation of quarterly compliance certificates where
appropriate
- Responsible for the maintenance of the treasury management
system including master data management, user access reviews,
reporting library
- Identify opportunities for treasury systems integration and
optimization of the treasury system and reporting
- Implement best practices and work with key stakeholders in
instituting process improvements whilst maintaining compliance with
policies and controls
- Monitor and recommend updates to Treasury operational policies
and procedures
- Support SOX compliance for Treasury operations in addition to
internal and external audit requirements Required/Preferred
Education, Knowledge, Skills, and Abilities
- Bachelor's degree in Economics, Finance and Accounting or
related discipline with a keen interest in global financial
markets
- Significant experience within a publicly traded corporate
treasury department preferred
- Excellent analytical and financial modelling capabilities with
experience building and maintaining long term cashflow forecasting
models
- Knowledge and familiarity with treasury systems, process flows
and control structure
- Must demonstrate overall business acumen and an understanding
of international treasury operations
- Strong attention to detail, an ability to balance competing
priorities and anticipate the needs of the company with a growth
mindset
- A 'hands-on' team player who is comfortable working on projects
on an independent basis and coordinating input from others
- Ability to prioritize, self-organize and self-motivate
- Ability to build networks with business partners across the
organization
- Takes a strong initiative in learning and pursuing results
- Excellent verbal/written communication skills and presentation
skills
- Proficiency with Treasury Systems (Sungard/FIS), SAP/ SAP
analytics, Online dashboards, Bloomberg, MS Office (advanced excel
skills required) Jazz Pharmaceuticals is an Equal Opportunity
Employer.
Keywords: Jazz Pharmaceuticals, Dublin , Associate Director, Treasury (remote working UK & Ireland), Accounting, Auditing , Dublin, California
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