Senior Treasury Analyst

Job Locations US-NC-Charlotte
ID
2022-23081

Overview

Driven Brands, headquartered in Charlotte, NC, is the parent company of North America’s leading automotive aftermarket brands across four distinct verticals: Repair & Maintenance, housing Meineke Car Care Centers®; Paint & Collision, housing Maaco® and CARSTAR®; Distribution, housing 1-800-Radiator & A/C® and Spire Supply; and Quick Lube, housing Take 5 Oil Change. Driven Brands has nearly 2,700 centers across North America and combined; all businesses generate more than $2.6 billion in system sales and service approximately 8 million vehicles annually. Driven Brands also houses its Charitable Foundations for its brands which collectively raise over $1.5 million per year. 

 

Driven Brands is the quintessential growth company, more than tripling its revenues, brands, employees, and profits over the past six years. The primary focuses of the company are growing its franchisees’ profitability, all brands’ unit count and creating opportunities for its employees, franchisees, and investors. Our culture of meritocracy inspires high performance and innovation among our employees. We enable our employees and franchisees to go further, faster— generating growth for our franchisees' businesses and our employees' careers. For more information, visit drivenbrands.com.

 

The Senior Treasury Analyst is responsible for activities relating to Driven Brands Debt Capital Markets, Cash Flow Forecasting, and Financial Risk Management. The Senior Treasury Analyst regularly interfaces with external financial service providers and internal cross-functional partners. The Senior Treasury Analyst will report directly to the Assistant Treasurer.

Responsibilities

Debt Capital Markets

  • Support financing transactions through analysis, data collection and reporting
  • Coordinate debt compliance and disclosure reporting
  • Manage Securitization requirements

 

Cash and Interest Forecasting

  • Interact with teams across the business to gather, analyze, summarize and prepare recommendations regarding business plans, acquisition activity, new business development and future funding requirements
  • Manage the direct cash flow forecast and seek opportunities to improve processes, analytics and reporting
  • Identify opportunities for increased cash flow generation
  • Perform liquidity analyses under various scenarios
  • Prepare interest expense forecast

 

Financial Risk Management

  • Support foreign exchange and interest rate risk management strategy, execution, controls and reporting
  • Monitor financial market and counterparty credit risk and effectiveness of foreign exchange and interest rate hedging programs

 

Other Responsibilities:

  • Lead the Securitization audit process
  • Support internal/​external financial audits and SOX reviews
  • Back up and assist other team members as necessary
  • Participate in special projects

Qualifications

  • Bachelor’s degree in Finance, Accounting, or Business-related field strongly preferred. MBA, CPA and/or CTP desirable
  • 5 or more years Treasury/Finance experience. International treasury management and Corporate retail industry experience a plus
  • Direct experience with derivatives and capital markets strategy and execution preferred
  • Strong technical, analytical, and computer skills. Proficiency in Excel required
  • Experience with Kyriba preferred
  • Ability to handle and prioritize multiple tasks/deadlines within a fast-paced environment and with a meticulous attention to detail and accuracy
  • Team oriented and capable of collaborating across various functions within the organization
  • Strong problem identification and resolution skills
  • Self-motivated individual with a strong work ethic
  • Eagerness to learn and continuously improve processes

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