Assistant Treasurer, Investments and Capital Markets, reports directly to the Santa Clara based Treasurer and is a key member of the Treasury staff. Successful candidates will have a demonstrated track record of senior level Treasury leadership and team development in a large global organization. This individual and their global team are responsible for managing capital structure and capital allocation strategy including shareholder returns, rating agencies relations, and capital markets activities. The individual will oversee Intel’s hedging activities to ensure controlled execution and effective risk mitigation. She/he has direct oversight responsibility for Intel’s cash and investment portfolio. The team also manages investment aspects of our global retirement plans, including both Defined Contribution, and Defined Benefit plans. The team currently consists of 16 individuals located in the US, Israel, Netherlands, India and Costa Rica.
Responsibilities include:
Development of capital structure strategy and related capital allocation planning.
Strategy and execution of capital market activities related to debt portfolio.
Structuring and oversight of structured financing, leases and other capital raising tools.
Development and management of rating agency and banking partners relations.
Shareholder distribution programs - repurchase and dividend policies.
Asset-liability management and equity disposal execution.
Management of Intel's hedging and financial risk management activities.
Comprehensive identification and mitigation planning of global exposures.
Design and implementation of risk management and hedging strategies.
Oversight responsibility for liquidity positions and cash and investment portfolio.
Define investment strategies and asset allocation, portfolio risk and maturity profile.
Ensure adequate liquidity and enhance overall portfolio return.
Partner on M&A settlement and repatriation strategies.
Management of investment aspects of global retirement plans, including both Defined Contribution, and Defined Benefit plans.
Oversight of Treasury aspects of M&A integration and divestitures.
15+ years’ experience at a large global company, in senior finance leadership roles partnering with officers and executives.
Deep subject matter expertise in large cap multinational Treasury management, with an extensive network of external relationships.
Strong communication, interpersonal and presentation skills, including direct experience preparing materials and/or presenting to CFO Offices, Board or Board Committees; proven ability to both listen effectively, articulate complex concepts simply and coherently.
High level of critical thinking and comfort with ambiguity.
Ability to lead, inspire the team, and develop bench talent for Intel.
Incredible attention to detail and ownership of business outcomes.
Ability to network across the company, including internationally travel to support global initiatives and team management.
Bachelor’s / Master’s degree in business, finance or related discipline required; MBA, CFA or similar qualification preferred.
JobType
Hybrid
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