Sr Mgr Capital Markets

Minneapolis, Minnesota, United States
Jul 18, 2018
Aug 15, 2018
Employment Status
Full Time
Description: Sr Manager Capital Markets

Classification: Exempt

Date: July 2018

About us:

Target is an iconic brand, a Fortune 50 company and one of America's leading retailers.

Right on pace with Target's distinctive retail brand, Target Finance and Accounting are transforming for the better. As so much more than a financial analyst or a behind-the-scenes number-cruncher, you will be a truly collaborative partner with a seat at the table. You'll bring your unique point of view, experience and passion for the work to your team and internal clients. In Finance, you'll be an integral voice in discussions that lead to Target's unparalleled shopping experience. Your analysis and recommendations will be directly applied to critical business decisions, from sales to merchandising and beyond. Within Accounting, you'll enjoy the interesting challenges of the competitive retail space, and you'll have a 360-degree impact—rather than on just one part of the business. You'll see your contributions come to life in virtually every area of this dynamic enterprise. And you'll grow and be challenged in your career while having a healthy balance with life outside of work.

As a Senior Manager, Capital Markets you are responsible for providing financial expertise to influence and support decision-making at Target.  You will act as a thought partner providing strategic perspectives and supporting management's planning and funding processes. This includes analyzing and making recommendations on a variety of capital structure projects, liability management initiatives, financing and hedging opportunities, and other strategic initiatives.  It also includes interpreting financial performance to identify business risks and opportunities. In this role you will:

  • Investigate the potential impacts of strategic business initiatives and capital structure transactions
  • Provide analysis and recommendations in areas such as share repurchase, cost of capital, fixed/floating exposures (i.e., interest rates, foreign exchange, commodities), derivatives, credit exposures, etc.
  • Create financial models and/or analysis to facilitate debt repurchase and evaluate alternative financing structures
  • Coordinate cross-functional reviews and supports new and on-going treasury-related programs and  initiatives (i.e., international trade payment programs, supply chain finance, cash conversion cycle, standby LOC program)
  • Partner with internal clients to review contracts with financing components to identify alternatives and mitigate risks
  • Build influential working relationships with internal and external business partners
  • Develop process improvements using strategic problem-solving skills
About you:

  • MBA degree with strong academic performance
  • 6-9 years finance and business experience
  • Entrepreneurial spirit with strong analytical, decision-making, project management, planning and organizational skills
  • Outstanding communication and relationship-building aptitude, with team-oriented focus
  • Credible thought leader; superior strategic and leadership skills


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