Director Treasury - SC Johnson

11 Feb 2022 11:19 AM | Marcos Vega (Administrator)

Director Treasury

Location: Racine, WI

Apply online: Director, Treasury Job at SC Johnson

The Director of Treasury will report to the Sr. Director, Assistant Treasurer and has direct leadership of and responsibility for financial risk management, subsidiary funding and capital structure and monitoring compliance with Corporate policies, controls and accounting practices in the execution of Treasury strategies. This position will work closely with Corporate Tax focusing on cash repatriation and foreign investment optimization as well as actively supporting global cash management, liquidity strategies, and bank relationship management.

SC Johnson’s total compensation packages are at or above industry levels. In addition to salary, total packages may include bonuses, long-term incentives, matching 401(k) contributions and profit sharing based on company profitability, job level and years of service. As a family company, we’re committed to providing benefits such as subsidized health care plans, maternity/paternity/adoption leave, flexible work arrangements, vacation purchase options, recreation and fitness centers, childcare, counseling services and more.

Essential Duties and Responsibilities:

Global Foreign Exchange and Interest Risk Management

  • Lead, identify, evaluate and recommend strategies to minimize Net Exposed Asset positions and related foreign exchange exposures
  • Evaluate and recommend hedging strategies including specific exposures such as negotiated global supply contracts, acquisitions and capital spending projects
  • Support the global FX risk management process
  • Develop and execute interest rate risk management hedge strategies as appropriate for asset / liability management

Provide Subject Matter Expertise to Management and the Business

  • Optimize subsidiary capital structures through evaluation of capital investment/repatriation and financing decisions
  • Liaise with Corporate Tax to ensure financing strategies are compliant with tax policies and support minimizing global effective tax rates while mitigating Company financial risk
  • Develop and present ad hoc analysis and perspective to management relating to global financial markets
  • Strong ability to effectively communicate with senior leadership in all areas of the business
  • Build and maintain strategic planning and partnerships with the business to engage involvement in new initiatives

Compliance, Controls and Accounting

  • Support FX and commodity derivative related questions and activities originating in Corporate Accounting and Internal or External Audit
  • Lead and build effective processes and controls to ensure consistent, accurate tracking and accounting of global treasury transactions
  • Oversee and ensure compliance with global treasury policies
  • Ensure the Company remains compliant with all requirements under existing company controls Dodd-Frank, EMIR and related regulatory requirements
  • Effectively communicate with Corporate Treasury back office and three regional Shared Service Center treasury teams as needed

Global Liquidity Management

  • Provide thought leadership and guidance to optimize the utilization of internally generated cash to finance global operations
  • Advance global cash and liquidity pooling strategies to complement existing cash management infrastructure and increase global liquidity
  • Manage bank credit facilities in support of subsidiary financing requirements

Management of Global Treasury Operations

  • Provide thought leadership and guidance to optimize the utilization and efficiency of global treasury systems and processes
  • Support the management and control of global bank accounts, authorized signers and KYC
  • Lead, prepare and execute bids for Treasury services (eg. Cash management, credit cards, supplier financing programs, etc) with bank group and other service providers

Required Skills / Experience / Competencies:

  • BS degree in Finance or Accounting is required; MBA preferred
  • 7 years of work experience in treasury or finance related fields with minimum of 5 years of work experience in Treasury required

Preferred Skills / Experience / Competencies:

  • Master of Business Administration (MBA) or master’s Finance preferred
  • Certified Financial Analyst (CFA) or Financial Risk Manager (FRM) designation preferred
  • Proficiency using treasury management systems; SAP knowledge preferred

Remote work is available once a week for eligible employees

Better Together

At SC Johnson, we strive to create a positive, inclusive and unique workplace. We strongly believe SCJ people are able to achieve their best when they can collaborate and work together in person.

Equal Opportunity Employer

The policy of the Company is to ensure equal opportunity for all qualified applicants and employees without regard to race, color, religion, gender, marital status, sexual orientation, national origin, ancestry, age, gender identity, gender expression, disability, citizenship, pregnancy, veteran status, membership in any active or reserve component of the U.S. or state military forces, genetic history or information or any other category protected by law.

Accommodation Requests

If you are an individual with a disability and you need an accommodation or other assistance during the application process, please call our Human Resources department at 262-260-3343 or email your request to All qualified applicants are encouraged to apply. Download the EEO is the Law poster for more information.

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