Triton International is the world's largest and most reliable container leasing company. The Financial Analyst - Treasury role involves contributing to the Treasury team, engaging in capital markets analysis, cash management, and supporting the company's financial operations.
Responsibilities
- Develop deep understanding of capital markets by:
- Performing analysis needed to evaluate potential financings (ABS, Investment Grade Bonds, bank loans, etc.)
- Assisting throughout the deal process including preparation of offering materials, responding to diligence requests, evaluating legal documents
- Learn to manage and optimize complex capital structure by:
- Preparing bank reporting and tracking payment requirements for Triton’s debt facilities
- Performing analysis and creating schedules in connection with various SEC filings
- Updating Triton’s Asset/Liability management model to analyze exposure to certain risks (i.e. Interest rate, f/x, etc.) and proposing/implementing appropriate risk mitigation strategies
- Updating and maintaining materials used for internal reporting to senior management
- Gain knowledge in cash management by:
- Assisting in treasury operations to send various vendor payments
- Preparing short- and long-term cash forecasting that is utilized to evaluate the Company’s cash position, investments, and credit lines to provide adequate liquidity
Skills
- Commercially oriented with strong business acumen
- Proficiency with Microsoft Office, specifically Excel and PowerPoint
- Self-motivated and a quick learner
- The desire to take ownership and show interest in work related initiatives
- Strong interpersonal skills – must be comfortable working within a team environment and interacting with all levels within the organization
- Good oral and written communication skills
- Must be at a commutable distance (within 50 miles) to the Purchase, NY office
- Applicants must be authorized to work for ANY employer in the United States. We are unable to sponsor or take over sponsorship of an employment Visa at this time
- Bachelor's degree in Finance, Economics, or a related field preferred
- 0-2 years of verifiable work experience in Treasury
- Experienced in effectively applying cash monitoring and budgeting techniques to predict and manage the organization's cash generation and funding needs
- Skilled at providing risk-based insights to inform decision-making around key strategic initiatives such as acquisitions, business development initiatives, and expansion
- Data-driven and experienced with monitoring economic factors such as interest rate rises, changes in regulations, and assessing Triton's exposure to determine strategies to mitigate financial risks to the business
- Committed to providing service excellence to internal and/or external clients and customers
- Highly organized and proactive when completing a task, while demonstrating a thorough concern for all details and areas involved, no matter how small
- A self-starter who is driven and willing to grow and develop, consistently exhibiting the ability to learn and apply new skills
Benefits
- Bonus potential
- Comprehensive benefit plans
- Generous time off
- Learning and development
- Employee Resource Groups (ERGs) open to all employees
- Hybrid working schedule of 4 days in the office (Monday – Thursday, Friday from home)
Company Overview
Triton International leases and sells intermodal shipping containers. It was founded in 1980, and is headquartered in Hamilton, Hamilton, BMU, with a workforce of 201-500 employees. Its website is https://www.tritoninternational.com.
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