WW is looking for candidates to help change people's lives. We are a global wellness technology company inspiring millions of people to adopt healthy habits for real life. We do this through engaging digital experiences, face-to-face workshops and sustainable programs that encourage people to move more, shift their mindset and eat healthier while enjoying the foods they love. By drawing on over five decades of experience and expertise in behavioral science, we build communities in order to deliver wellness for all.
Role Overview:
This is a highly visible role that will report to the Vice President, Treasury and offers an opportunity to make a significant positive impact on WeightWatchers' Treasury activities including capital structure, liquidity, financial risk management, and lender relationships.
Key Responsibilities:
- Liquidity Management: Lead the investment of short-term cash investment portfolio and ensure that it is invested within the parameters defined by the global short-term investment policy
- Lender Relationships: Be a strong partner an and internal advocate for the firm's relationship banks - support data and KYC requests, allocation of ancillary business opportunities, as well as maintaining multiple touch points with the management team
- Interest Rate Risk Management: Enhance WeightWatchers' fixed vs floating debt mix framework and analysis and recommend and execute derivatives to achieve the target mix
- Debt Compliance: Manage the debt compliance process. Understand and calculate debt covenants. Ensure that the company is in compliance with all debt covenants and update debt covenant baskets. Coordinate borrowings, debt rollovers, and debt repayments.
- Capital Structure: Support equity and debt related Capital Markets activities as appropriate
- Foreign Exchange Risk Management: Identify firmwide foreign exchange exposures and develop and execute strategies to mitigate risks. Develop appropriate reporting of results. Execute spot trades as needed.
- Treasury Reporting: Create weekly and quarterly Treasury reporting of debt and interest expense
Other Projects:
- Manage M&A Integration projects. Move acquired business onto our banking platforms and systems.
- Drive Treasury global systems projects, including migrations to new bank software and Treasury Management systems. Seek and implement process and reporting improvements.
- Drive other Treasury global projects to increase productivity and decrease cost. Work with Tax, Accounting, and International to implement.
Experience Required:
- BS Finance, Economics or Accounting (MBA preferred)
- CFA (Certified Financial Analyst) designation a plus
- 5+ years of experience within Corporate Treasury, Corporate and Investment Banking, or Consulting, or broader Corporate Finance
- Exposure to high yield (leverage finance) preferred
- Experience with Treasury Management System (TMS) a plus
- Self starter, entrepreneurial and highly energetic with a passion to improve status quo
- Comfortable using MS-Excel and MS-PowerPoint
Base salary may vary depending on, but not limited to: skills, experience, and location.
Base Salary for Manager Capital Markets - $115,000-125,000/yr
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At WW, it is our priority to cultivate a diverse and inclusive workplace. We are committed as individuals, as an organization, and as fellow humans, to advocate for and support our employees, our members, and our communities. We are proud to be an equal opportunity employer and we do not discriminate on the basis of sex, race, color, creed, national origin, marital status, age, religion, sexual orientation, gender identity, gender expression, veteran status, or disability.