Treasury Director - Capital Markets, FX, and Insurance - Axalta Coating Systems
Glen Mills, PA
About the Job
Reporting to the Treasurer, the Treasury Director, Capital Markets, FX and Insurance will be responsible for Axalta's (the "Company") development and execution of the debt and derivative portfolio, rating agency relationships, financial risk management programs (FX, Interest Rate), the business units and capital allocation strategies. In addition, the Director will be responsible for the Risk and Insurance and ERM programs.
Responsibilities:
Treasury:
- The position will assist the Treasurer on all aspects of the capital structure, including debt management along with guarantees and letters of credits and optimizing overall liquidity.
- Assist in the development of all treasury and capital market and planning and presentation materials for senior management, including for company's Audit Committee and Board of Directors
- Provide guidance on financial risk management decisions for the Company, such as hedge strategies to manage interest rates.
- Lead the Company's global foreign exchange hedging programs, including evaluation of currency exposures, hedging strategies, and compliance requirements.
- Manage all aspects of the Treasury reporting and compliance requirements, including earnings prep, guarantee obligations, preparation and submission of compliance certificates, banking notices, and other reporting requirements and the company's performance under debt covenants.
- Drive the execution of capital deployment initiatives, such as debt pre-payments and share repurchases.
- Actively manage relationships with the rating agencies.
- Partner in preparation of budget and outlooks for interest expense, Free Cash Flow and other key financial metrics.
- Manage Treasury policies to ensure compliance and review for necessary updates with internal and external stakeholders.
- Engage with cross functional internal teams, such as FP&A, Controllership, Business Units and Tax on all strategic priorities and projects.
- Lead on all M&A processes from a Treasury and Risk/Insurance perspective.
- Responsible for special projects and any other duties required by the Treasurer such as global footprints, bank relations, liquidity structuring, and driving the Company wide initiatives on digitalization, automation and transformation.
Insurance and Risk:
- Manage all aspects of Axalta's Global Property, Casualty and executive risk insurance programs, including but not limited to Workers Compensation, Auto Liability, General Liability, Umbrella/Excess, Property, Directors & Officers, Employment Practices Liability, Fiduciary Liability, Crime, etc.
- Ownership of all Insurance activities affecting the organization, including but not limited to broker relationships, policy language, coverage and renewals, strategy, and claims.
- Must be a self-starter who can procure, negotiate and drive executed value on behalf of Axalta with all policies, coverages and timely renewals with brokers and underwriters.
- Liase with FP&A and Accounting teams on all aspects of claims accruals and budgeting.
- Manage annual retro audits with US Casualty carrier.
Claims Management:
- Act as point person for all global claims management, working closely with assigned third party administrators (TPAs), brokers and internal or external counsel on claims management and resolutions.
- Set the strategy for claims administration/recoveries, drive process improvements, and ensure adherence to claims-handling best practices.
- Monitor performance and negotiate annual contracts for TPAs.
Enterprise Risk Management:
- Design, implement and monitor Axalta's Enterprise Risk Management framework and program along with senior leadership.
- Lead the annual survey with global leadership to evaluate all risks posed to the organization, on both a gross and net basis, and perform interviews with key leadership on those topics.
- Drive strategic actions and objectives across the Risk universe, liaising with all aspects of the internal organization to identify, measure and manage risks.
- Oversee and monitor all risks identified within ERM analysis and presents findings to executive leadership quarterly and the Audit Committee and Board of Directors annually.
Qualifications:
Required:
- Ten plus years of progressive Treasury and Finance work.
- Bachelor's degree in Finance, Accounting or Economics.
- Experience with Debt, Capital Markets, Foreign Exch
Source : Axalta Coating Systems