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Sr. Analyst, Treasury job in Louisville

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Kentucky (KY), Louisville
Employer:  Yum! Brands
Job Ref:  562389
Country:  United States
City:  Louisville
State:  Kentucky (KY)
Company Summary
Yum! Brands, Inc., based in Louisville, Kentucky, has nearly 44,000 restaurants in more than 135 countries and territories and is one of the Aon Hewitt Top Companies for Leaders in North America. In 2017, Yum! Brands was named among the top 100 Best Corporate Citizens by Corporate Responsibility Magazine. The company's restaurant brands - KFC, Pizza Hut and Taco Bell - are the global leaders of the chicken, pizza and Mexican-style food categories. Worldwide, the Yum! Brands system opens over six new restaurants per day on average, making it a leader in global retail development.

Since our spin-off from PepsiCo in 1997, Yum! Brands has become a truly global company going from approximately 20 percent of profits coming from outside the U.S. to approximately 50 percent in 2016. We're proud to be the worldwide leader in emerging markets with over 17,000 restaurants, nearly twice as many as the nearest competition. With less than 3 restaurants per million people in the top 10 emerging markets, compared to approximately 57 restaurants per million in the U.S., we are on the ground floor of global growth.

Our mission is to build the world's most loved, trusted and fastest growing restaurant brands. We are evolving KFC, Pizza Hut and Taco Bell into iconic, distinctive and relevant global brands.

Importantly, we're extremely proud of our 1.5 million employees around the globe and the unique culture we've built, one that's filled with energy, opportunity, and fun. We believe in our people, trust in their positive intentions, encourage ideas from everyone, and have actively developed a workforce that is diverse in style and background. Yum! Brands is great place to be yourself, grow and make a difference.

Job Description
JOB FUNCTIONS:

This position plays a key role in ensuring that Yum! Brands, Inc. financial objectives are met by supporting treasury for Yum Brands, Inc., including managing cash flow forecasting and planning process, managing day to day treasury cash operation needs, planning redeployment/repatriation projects and working with international markets on their treasury needs. Specifically, the Sr. Analyst, Treasury will assist the Global Treasury Operations to manage global cash flow reporting & forecasting, liquidity levels, global banking relationships and internal & external reporting requirements. He or she will also provide analytical support aimed to effectively managing the Company's FX exposures, assist with currency hedging opportunity evaluation, plan and implement redeployment/repatriation projects.

Forecasting/Planning: Partner with corporate and international market finance teams to prepare short-term and long-term global cash flow forecasts. Proactively engage in managing the quarterly international cash flow forecast process and maintain tracking sheet to ensure risks & opportunities are appropriately identified and communicated.

Cash Management: Coordinate daily cash positioning, cash forecasting, liquidity planning and wire initiation. Monitor cash investment portfolio for compliance with corporate investment policy; keep current on the market and investment products; evaluate and recommend short-term/liquid investment options. Process intercompany payments/loans. Assist managers with the development and implementation of treasury policies and procedures. Support external audit requests and assist in Sarbanes Oxley testing. Perform in-depth analysis to assess the cost/benefit of new cash management initiatives.

Redeployment/Repatriation: Help coordinate cash redeployment plan. Assist with efficient repatriation of cash by minimizing cash trapped overseas but ensuring ample liquidity in the markets to fund near and long term objectives. Assist in evaluating the treasury-related implications of potential strategies and provide insightful analysis and recommendations; including understanding the implications of complex tax strategies, accounting policies, cash flow by legal entity/country, and possible changes in ownership strategy.

Global Liquidity/International Treasury: Build strong relationships with market personnel to understand local treasury operation needs and help implement best practices to minimize financial risk, lower costs, increase yield and support local business objectives. Analyze/quantify FX exposures, assist with currency hedging opportunity evaluation. Cross train and be prepared to participate in special projects as needed.

Minimum Requirements
EDUCATION :
B.S. in Finance or Accounting
MBA and or CFA/CPA/CTP a plus

EXPERIENCE (and other qualifications):
3 years + finance experience
Experience in treasury and an understanding of global business involving multi-currency transactions preferred
Advanced proficiency in building complex financial models and spreadsheets
Advanced proficiency in the use of Microsoft PowerPoint
Demonstrated high degree of intellectual curiosity, self-starter and excellent strategic thinking skills
Excellent analytical skills, with experience building and managing complex models.
Excellent communication skills, both oral and written
Excellent leadership and influence skills
Ability to work well in a Cross-functional, multinational team environment

08/21/17
ref: (562389)
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