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Director Treasury Risk Management Jobs in Colorado

Treasury, Director

Denver, CO ยท On-site

$180 - $210/hr

The Treasury Director provides strategic leadership across all treasury, capital allocation ... Financial Risk Management & Hedging (5%)* Lead the design and execution of the Company's hedging ...

The Treasury Director provides strategic leadership across all treasury, capital allocation ... Support the corporate risk management process and contribute to enterprise risk reporting 5. ...

Support the corporate risk management process and contribute to enterprise risk reporting 5. ... Lead treasury input into quarterly financial reporting, budget, and life-of-mine forecasting ...

Job summary Supports the organization's treasury operations, including the management of ... Communicates with director, treasury services on developments in areas of responsibilities

Advise clients on treasury operations, risk management, and technology practices to improve efficiency, strengthen controls, and support business objectives. * Build and maintain client relationships ...

Director of Enterprise Risk

Westminster, CO ยท On-site

$160K - $221K/yr

Elevate Global Resilience as our Director of Enterprise Risk Management! Are you a forward-thinking leader ready to design, build, and spearhead a modern, integrated risk function from the ground up?

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Director Treasury Risk Management information

What does a Director of Treasury Risk Management do?

A Director of Treasury Risk Management oversees an organization's financial risks, including liquidity, interest rate, currency, and credit risks. They develop strategies to mitigate these risks, ensure compliance with financial regulations, and manage relationships with banks and financial institutions. Their responsibilities also include forecasting cash flow, implementing hedging strategies, and advising senior management on risk exposures and financial policies. This role is crucial in safeguarding the organization's financial stability and supporting strategic financial planning.

What are the key skills and qualifications needed to thrive as a Director of Treasury Risk Management, and why are they important?

To thrive as a Director of Treasury Risk Management, you need deep expertise in financial risk analysis, cash management, and treasury operations, typically supported by a degree in finance or accounting and relevant certifications such as CTP or CFA. Proficiency with risk assessment tools, treasury management systems (TMS), and financial modeling software is essential. Outstanding leadership, strategic thinking, and excellent communication skills help you influence decision-makers and guide teams effectively. These capabilities are crucial for safeguarding an organization's financial health, ensuring regulatory compliance, and optimizing risk-return outcomes.

What are some common challenges faced by a Director of Treasury Risk Management, and how can they be addressed?

A Director of Treasury Risk Management often faces challenges such as rapidly changing market conditions, regulatory compliance, and maintaining effective communication across departments. Managing liquidity risks, currency fluctuations, and interest rate exposures requires strong analytical skills and the ability to implement robust risk mitigation strategies. Proactively collaborating with finance, legal, and executive teams helps ensure alignment on risk policies and timely decision-making. Staying updated on industry best practices and regulatory changes is essential for maintaining effective risk frameworks and supporting organizational goals.
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Treasury, Director

Treasury, Director

SSR Mining Inc.

Denver, CO โ€ข On-site

$180 - $210/hr

Other

Medical, Dental, Vision, Retirement, PTO

Posted 2 days ago


Job description

## Treasury, DirectorApplylocations: Denver, COtime type: Full timeposted on: Posted Yesterdayjob requisition id: R3344**Who Are We?**SSR Mining Inc. is an intermediate gold company with five producing assets located in the USA, Turkey, Canada, and Argentina, combined with a global pipeline of high-quality development and exploration assets in the USA, Turkey, and Canada.SSRโ€™s commitment to safety, collaboration, and excellence allows us to continue building upon our already strong foundation. With an industry-leading pipeline of projects, strong financial positioning, and talented employees, we look forward to our bright future!**Job Description:**The Treasury Director provides strategic leadership across all treasury, capital allocation framework and insurance activities for the Company. The role is accountable for optimising the Company's capital structure, capital returns, securing and managing debt financing facilities including revolving credit facilities, capital allocation and cultivating senior banking relationships. The role brings a commercially focused lens to cashflow management and treasury operations, with particular responsibility for the insurance program and its alignment to the Company's broader risk appetite. Reporting directly to the VP of FP&A and Treasury, the role acts as a key advisor to executive leadership on financial risk, liquidity strategy, capital returns and funding decisions that support business growth.**The Day-to-Day:**1. Balance Sheet Management (20%)* Implement the Company's 3rd Party Financing, including managing debt financing transactions and subsequent compliance thereof (bonds, term loans, project financing)* Own and manage the Revolving Credit Facility (RCF), including negotiation of key terms, manage banking relationships, covenant compliance, utilization strategy, and periodic amendments or refinancings* Evaluate and recommend optimal capital structure, balancing cost of capital, leverage metrics, and strategic flexibility* Assess borrowing capacity and determine future funding requirements in the context of the Company's growth strategy and project pipeline* Monitor debt capital markets and credit conditions to identify opportunities for refinancing, liability management, or new issuance* Work closely with Investor Relations to understand market dynamics and investor perspectives* Monitor the Companyโ€™s financial position of the business against the Capital Allocation Framework* Structure and articulate recommendations in relation to shareholder returns (including dividends and share-buybacks)* Structure share-repurchase programs and engage with financial institutions to execute thereon* Serve as key point of contact for senior banking relationships and treasury operations* Manage the global banking panel including RFP processes, bank mandate allocation, and fee negotiation to ensure competitive terms and strategic alignment* Evaluate and onboard new banking partners as the Company's geographic and operational footprint evolves3. Treasury Operations & Liquidity Management (30%)* Provide strategic oversight of day-to-day treasury operations, including global cash management, intercompany funding and collections/disbursements* Work closely with Corporate Development team on sales execution in relation to metal sales, managing cashflow and funding of the business through metal sales collections* Drive improvements to cash visibility, forecasting accuracy, and working capital efficiency across the business* Lead engagement with tax department to ensure optimal tax and cashflow mgmt. are aligned* Manage investment of surplus cash across all entities to extract value whilst maintaining flexibility* Set and maintain treasury policies and procedures for the Company's global banking structure, ensuring operational resilience, governance and excellence (systems* Ensure treasury strategies are appropriately scaled to support business growth, M&A activity, and new project development* Drive future focused treasury department through automation, systems and AI enablement* Actively engage with mine sites for business needs4. Financial Risk Management & Hedging (5%)* Lead the design and execution of the Company's hedging program (for example diesel)* Provide strategic recommendations to the VP of FP&A and executive on risk management positioning, including hedge ratios, instruments, and portfolio construction* Monitor macroeconomic and market conditions to anticipate, identify opportunities and respond to risk exposures* Support the corporate risk management process and contribute to enterprise risk reporting5. Insurance & Commercial Risk (35%)* Own the Company's global insurance program, providing strategic direction on coverage design and terms, risk retention levels, limits, and program structure* Take a commercially focused approach to insurance ensuring coverage decisions are actively aligned to asset risk profiles, project development stages, and the Company's risk appetite framework* Lead the annual insurance renewal process, managing relationships with brokers and (re)insurers at senior level to secure competitive and comprehensive coverage* Co-ordinate activities between insurance broker & mine site/internal departments, prepare related documentation/presentations and anticipate/monitor insurable risk conditions for mine sites* Provide commercial input on insurable risk for new projects, acquisitions, and joint ventures โ€” engaging early in due diligence and deal structuring* Analyse insurable risk exposure across mine sites and corporate operations; develop recommendations on risk transfer vs. self-insurance/captive structures* Ensure claims management processes are fit for purpose and that the Company extracts full value from its insurance program* Present insurance strategy and program updates to the CFO and senior leadership team6. Reporting, Controls & Governance (10%)* Prepare Board and executive-level reports on treasury, capital markets, and insurance translating complex financial topics into clear strategic narrative* Lead treasury input into quarterly financial reporting, budget, and life-of-mine forecasting processes* Maintain SOX compliance across all treasury processes (metal sales, investment, hedging, debt); lead periodic reviews of control documentation* Support internal and external audit activities and act as the senior treasury contact for audit committees* Ensure all financing documentation, covenant packages, and lender reporting obligations are met on time and to a high standard**Is This You?**Education & Experience* Bachelor's degree in Finance, Business, Economics, or a related field; MBA or Master's degree strongly preferred* Minimum 10 years of progressive treasury, capital markets, or corporate finance experience, with at least 3โ€“5 years at a senior or director level* Proven track record of leading financing transactions (RCF, term loans, bonds) and managing banking relationships at a senior level* Direct experience managing corporate insurance programs, ideally in an industrial, mining, or commodities-sector business* Exposure to capital markets strongly desirable* Mining or natural resources industry experience an assetTechnical Skills* Deep expertise in treasury management systems, hedging, insurance terms and derivatives documentation* Strong command of capital structure analysis, credit metrics, and leverage modelling* Proficiency in financial modelling and advanced Excel* Familiarity with SOX frameworks and treasury-related control environmentsLeadership & Commercial Competencies* Demonstrated ability to lead and develop a treasury and insurance team, fostering technical capability and commercial awareness* Commercially astute able to connect treasury and insurance decisions to broader business strategy and value creation* Excellent communication and influencing skills; comfortable presenting to Boards, CFOs, and external counterparties* Strong negotiation skills, particularly in a banking, financing, or insurance context* Ability to manage multiple complex priorities and work effectively across a global, multi-site organisation* Strategic thinker with the analytical rigour to support and defend recommendations at executive levelProfessional Credentials* Certified Treasury Professional (CTP) designation preferred*For applicants residing in CO, the salary range for this role is from $180,000-$210,000.* *Benefits: 401(k); medical/dental/vision insurance; employee share purchase plan, PTO, STI and LTI.* #J-18808-Ljbffr