Overview
As a Treasurer you will build and develop talent within the finance organization, fostering a highly trained, motivated, and effective team prepared for succession and advancement. The Treasury has the primary responsibility for the cash and liquidity management of Brazil in compliance with SOX, company policies and IFRS/USGAAP. This position is also responsible for interacting with SBU Leadership, Finance Leadership, Regional and Corporate Treasurer to ensure Country and SBU finance goals and objectives are aligned.
Responsibilities
* Proactively manage relationships with key banking partners and financial institutions to deepen market insights, communicate Goodyear’s strategies and performance, and secure credit resources to support business operations.
* Develop innovative financial solutions aligned with corporate objectives, enabling commercial and supply chain teams to better support customers and suppliers.
* Drive cash management activities in partnership with local leadership and Regional Treasury to ensure adequate liquidity for operational needs.
* Lead and support cash forecasting processes with local FP&A, providing clear visibility to local and regional stakeholders.
* Develop and execute strategies to reduce working capital, maximize cash repatriation and strengthen global liquidity.
* Develop strategies to minimize financial and operational risk exposures.
* Ensure the company maintains adequate insurance coverage for risks not managed at the corporate level, securing optimal service, pricing and product offerings.
* Manage Brazil’s foreign currency exposure, providing assessments and visibility to local leadership and regional treasury.
* Review, document, and enhance procedures related to Treasury operations, internal controls, and SOX requirements.
* Ensure strict adherence to company policies, internal control standards, and government regulations.
Qualifications
* Business Administration, Accounting or Economics degree (Finance and/or Treasury MBA, CTP Certified Treasury Professional are desired).
* Minimum 5 years of Treasury leadership experience.
* Experience working in multinational corporations.
* Experience with banking operations, relationships with financial institutions and debt management.
* Advanced English is mandatory.
* Minimum 3 years of general leadership experience.
What will set you apart
* Advanced financial analysis, accounting concepts and strategic thinking.
* Good understanding of financial markets and instruments.
* Clear communication with senior management, banks, and internal teams.
* Strong negotiation skills.
EEO Statement
Goodyear is an equal employment opportunity employer. All qualified applicants will receive consideration for employment without regard to any characteristic protected by law.
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