Skip to content
Back to Careers

Senior Treasury Manager, Financial Markets

Type:
Posting Date:
End Date:
Job ID:
2507034092W

Kenvue is currently recruiting for a:

Senior Treasury Manager, Financial Markets

What we do

At Kenvue, we realize the extraordinary power of everyday care. Built on over a century of heritage and rooted in science, we’re the house of iconic brands - including NEUTROGENA®, AVEENO®, TYLENOL®, LISTERINE®, JOHNSON’S® and BAND-AID® that you already know and love. Science is our passion; care is our talent.

Who We Are

Our global team is ~ 22,000 brilliant people with a workplace culture where every voice matters, and every contribution is appreciated.  We are passionate about insights, innovation and committed to delivering the best products to our customers. With expertise and empathy, being a Kenvuer means having the power to impact millions of people every day. We put people first, care fiercely, earn trust with science and solve with courage – and have brilliant opportunities waiting for you! Join us in shaping our future–and yours. For more information, click here.

Role reports to:

Sr Director Fin Markets EC and R Mgmt

Location:

North America, United States, New Jersey, Summit

Work Location:

Hybrid

What you will do

The position develops strategies and provides oversight of daily operations for a best-in-class Treasury team supporting debt capital management and financial risk management. The position is responsible for overseeing daily operations and helps to identify, measure and hedge foreign exchange risk. The position continually seeks to build efficiencies and improve system utilization, procedures and management reporting.
 

This role maintains close collaboration and partnership with legal, tax and accounting to ensure regulatory compliance, control and accurate financial reporting. This position will also involve frequent communication with external financial institutions as well as main banking partners.


Key Responsibilities:

  • Manage the foreign exchange (FX) hedging programs and hedging portfolio, including identifying foreign currency exposures and develop appropriate hedge proposals
  • Manage the execution of FX trades including derivatives hedging with bank counterparties
  • Recommend, improve and implement approved FX hedging strategies
  • Manage Kenvue bond issuance and commercial paper program  
  • Oversee the preparation of reporting, including internal and other external audit requests
  • Manage the relationships with FX banking partners
  • Monitor current market conditions and market research
  • Work closely with cross functional and international groups to ensure solid understanding of risk drivers
  • Drive Financial Markets projects for ad-hoc analysis or transactions partnering with finance, accounting, FP&A, tax, legal and IT
  • Responsible for SOX and policy compliance and review FX-related SEC reporting and disclosures
  • Partner with Treasury and IT to maintain, automate and streamline FX and related systems


What we are looking for

Required Qualifications:

  • Bachelor’s and/or master's degree in Finance, Accounting or Economics
  • Minimum of 5-7 years of experience working in a Treasury team
  • Proficient in Excel, Bloomberg and SAP
  • Knowledge of financial risk management and banking relationships
  • Strong financial acumen
  • Strong people management skills
  • Ability to adapt and lead in a changing environment
  • Analytical and problem-solving skills (must be able to reason through complex and various business and legal scenarios and structures and provide meaningful feedback for decision making)
  • Excellent communication and interpersonal skills (including ability to interact with all levels of management within and outside of finance)
  • Proven experience in leading small projects or components of large, complex projects
  • Ability to demonstrate experience in overseeing the quality of deliverables and effectively manage the team and day-to-day relationships to ensure exceptional performance

Desired Qualifications

  • Knowledge of Financial and capital markets, accounting, finance and tax
  • Experience working with global financial operations and managing a global team
  • Strong knowledge of risk management and banking relationships
  • Experience in Treasury Management Systems

What’s in it for you

Annual base salary for new hires in this position ranges:

$152,150.00 - $214,800.00

This takes into account a number of factors including work location, the candidate’s skills, experience, education level & other job-related factors.

  • Competitive Benefit Package*

  • Paid Company Holidays, Paid Vacation, Volunteer Time & More!

  • Learning & Development Opportunities

  • Kenvuer Impact Networks

  • This list could vary based on location/region

*Note: Total Rewards at Kenvue include salary, bonus (if applicable) and benefits. Your Talent Access Partner will be able to share more about our total rewards offerings and the specific salary range for the relevant location(s) during the recruitment & hiring process.

Kenvue is proud to be an Equal Opportunity Employer. All qualified applicants will receive consideration for employment based on merit without regard to race, color, religion, sex, sexual orientation, gender identity, age, national origin, or protected veteran status and will not be discriminated against on the basis of disability.

If you are an individual with a disability, please check our Disability Assistance page for information on how to request an accommodation.