Manager, Treasury Resume Sample

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Work Experience

Manager, Treasury
02/2016 - PRESENT
Houston, TX
  • Manage Adobe’s Investment portfolio including
  • Appropriate analysis and strategy recommendations including duration, asset allocation and overall portfolio risk and return for both internally and externally managed portfolios
  • Manage and make recommendations for selection of external asset management partners
  • Responsibility for software tools used for reporting and trading
  • Responsibility for monitoring compliance with the Investment Policy and Guidelines
  • Management of custodial relationship and related reporting
  • Lead and prepare quarterly materials for the Investment Committee
  • Other presentations/information as requested
Senior Manager, Treasury
11/2012 - 11/2015
New York, NY
  • SOX compliance and control design for investments
  • Draft 10Q/10K Cash and Investment schedules and disclosures
  • Execute and implement current investment accounting standards
  • Forecast and analyze consolidated Interest Income and Expense
  • Support for ad-hoc Treasury analytical projects related to cash and investments, liquidity planning, M&A activity and capital market
  • Strong corporate finance and/or capital markets and/or foreign exchange experience
  • Think creatively and out-of-the box; ability to challenge the status quo; demonstrated ability to innovate
  • Excellent written and oral communication skills, particularly the ability to work and communicate cross-functionally
Manager, Treasury Processes
12/2007 - 09/2012
New York, NY
  • Excellent leadership qualities, including getting work done through others, being organizationally savvy, thought leadership
  • Able to handle pressure/deadlines
  • Manage the company’s fuel operations, including annual and periodic tenders, ongoing logistics and provide periodic fuel supply and cost reports to senior management, operations and finance
  • Manage the company’s fuel consortium memberships, including attending periodic consortium meetings
  • Develop and manage the company’s fuel risk management strategy, including managing relationships with trading desks, execution of trades and providing frequent reports to Senior Management
  • Contribute to the ongoing cash forecasting responsibility of the treasury department
  • Develop and contribute to various ad hoc forecasting and financial analysis projects that are frequently required by senior management
  • Ensure compliance with internal controls, policies and procedures. Develop and monitor treasury operational policies


Webber International University
2003 - 2007
Bachelor's Degree in Finance

Professional Skills

  • Ensure adequate controls are in place to safeguard the company’s funds and to ensure integrity and accuracy of the banking functions according to creditor agreements
  • IT skills:Strong Excel & Powerpoint skills Experience in Treasury Management Systems and using bank portals (such as JPM Access and HSBC Net)
  • Demonstrated excellent negotiation skills and a proven ability to get things accomplished
  • Excellent analytical and communication skills required with strong attention to details
  • Excellent leadership qualities, including getting work done through others, being organizationally savvy, thought leadership and influencing skills
  • Excellent problem solving, analytical and strategic thinking skills
  • Strong interpersonal and collaboration skills, including being able to communicate with stakeholders within the business and broader Finance function

How to write Manager, Treasury Resume

Manager, Treasury role is responsible for analytical, interpersonal, microsoft, excel, financial, modeling, treasury, finance, advanced, powerpoint.
To write great resume for manager, treasury job, your resume must include:

  • Your contact information
  • Work experience
  • Education
  • Skill listing

Contact Information For Manager, Treasury Resume

The section contact information is important in your manager, treasury resume. The recruiter has to be able to contact you ASAP if they like to offer you the job. This is why you need to provide your:

  • First and last name
  • Email
  • Telephone number

Work Experience in Your Manager, Treasury Resume

The section work experience is an essential part of your manager, treasury resume. It’s the one thing the recruiter really cares about and pays the most attention to.
This section, however, is not just a list of your previous manager, treasury responsibilities. It's meant to present you as a wholesome candidate by showcasing your relevant accomplishments and should be tailored specifically to the particular manager, treasury position you're applying to. The work experience section should be the detailed summary of your latest 3 or 4 positions. Representative Manager, Treasury resume experience can include:

  • Experience demonstrating strong valuation and quantitative finance skills
  • Strong business modelling skills
  • Intellectual curiosity, as well as strong analytical and problem solving skills with the confidence to question processes
  • Strong communication, interpersonal and team-building skills
  • Good communication skills to interact with divers senior stakeholder group (MD level)
  • Good communication skills to interact with divers senior stakeholder group

Education on a Manager, Treasury Resume

Make sure to make education a priority on your manager, treasury resume. If you’ve been working for a few years and have a few solid positions to show, put your education after your manager, treasury experience. For example, if you have a Ph.D in Neuroscience and a Master's in the same sphere, just list your Ph.D. Besides the doctorate, Master’s degrees go next, followed by Bachelor’s and finally, Associate’s degree.

Additional details to include:

  • School you graduated from
  • Major/ minor
  • Year of graduation
  • Location of school
These are the four additional pieces of information you should mention when listing your education on your resume.

Professional Skills in Manager, Treasury Resume

When listing skills on your manager, treasury resume, remember always to be honest about your level of ability. Include the Skills section after experience. Present the most important skills in your resume, there's a list of typical manager, treasury skills:

  • Attractive candidates also demonstrate strong analytical and organizational abilities, as well as effective oral and written communication skills
  • Strong oral and written communication skills, with experience in preparing and executing formal and informal presentations and reports
  • Strong analytical skills with an ability to cope with pressure and changing priorities
  • Excellent organizational skills with ability to work independently and manage priorities
  • A high level of interpersonal skills and an ability to function effectively as part of a team
  • Effective leadership and demonstrated problem solving skills required

List of Typical Experience For a Manager, Treasury Resume


Experience For Senior Manager, Treasury Resume

  • Demonstrate attention to detail in a dynamic environment, with evidence of minimizing financial risks and optimizing the cost of funds
  • Partner effectively with other business and finance functions including Tax, Legal, Project Finance, Accounting, Business Development and FP&A
  • Influence and work effectively with cross-functional peers and senior leaders
  • Core working experience in handling relevant work areas independently
  • A strong understanding of regulatory, rating agency and economic capital frameworks

Experience For Manager Treasury Resume

  • Experience working cross-functionally and with external parties (legal, counsel, financial firms, etc…)
  • Partner with the ABS organization to accurately identify currency exposures and implement effective hedging programs
  • Experience in Financial Planning and Analysis considered an asset
  • Work with various banking partners to establish a cash management structure that is efficient and effective
  • Develops and maintain effective processes and controls. Identifies and lead process improvement opportunities
  • Oversees online bank system administration including establishing user access, resolving system related issues, and approving new users
  • Support pensions including preparing committee materials, analyzing special projects, and reviewing asset manager performance
  • Manage the process of setting up / amending treasury agreements between PNA and group companies, and third parties such as banks regarding financial issues

Experience For Manager, Treasury Processes Resume

  • Responsible for accurate financial reporting for the Treasury department following IFRS accounting standards and ICFR control frameworks
  • Engage with treasury management banking relationships and works with banking partners to continually improve corporate banking infrastructure and processes
  • Knowledge and practical understanding of the various types of financing and debt instruments including derivative instruments (e.g. swaps)
  • Support accounting for all derivatives, including hedge accounting documentation and reconciliations
  • Be responsible for the development of staff members, including the review process, goal setting and overall growth. Oversee and review work of staff
  • Support division / subsidiary companies to introduce financial solutions such as new method of funding, FX hedging, Cash management settlement system, etc
  • Responsible for managing / reporting overall cash position and variance analysis vs budget / previous forecast
  • Assists in building and maintaining bank syndication relationships

Experience For Manager, Treasury Management Resume

  • Balances workloads among team members optimizing resources and ensuring efficient use of resources
  • Proactive, creative, voracious learner with perseverance to keep up with new developments in banking regulations, emerging markets, technology and fraud
  • Conduct periodic FX trading and recommend hedging strategies
  • Other Group Finance Departments, in particular Accounting/Controlling, Tax Department, and Financial Shared Services
  • Reebok Foundation (charitable subsidiary supporting community relations grants, matching gift and BOKS programs)
  • Manage Corporate & Other’s capital planning function, including the creation of the C&O annual capital plan
  • Support senior management in analyzing and executing capital management transactions

Experience For Manager Treasury Management Resume

  • Lead process and reporting improvements leveraging technology tools such as ERP, PowerBI, Datamarts and application robotics
  • Drive capital structure analysis and planning; including debt and share buyback recommendations
  • Develop a clear understanding of the business and strategic objectives to support existing operations and strategic growth initiatives
  • Have a keen business understanding to identify innovative solutions, establish automated treasury processes/reporting and build robust financial models
  • Commitment to continuous process improvement, and maintaining knowledge of developments in the treasury and banking environments
  • Perform borrowing or investing activities
  • Build institutional knowledge by educating key stakeholders in FTP and deposit forecasting
  • Track and manage short-term liquidity for the company, including maintaining the direct cash forecast model

Experience For Senior Manager, Treasury Modeling Resume

  • Assist with Rating Agency and Pension reporting and analysis
  • Develop global cash forecasting models and quantify needs and optimal level of cash balances, working in collaboration with Corporate FP&A team
  • Deliver guidance and analysis on corporate finance decision making (capital structure, investments, market developments, competitor surveillance, etc.)
  • Make important decisions and recommendations impacting both Treasury and the corporation
  • Maintain a high level of Treasury knowledge to provide new and improved methods of processing or efficiency
  • Develop and assure Treasury policies and procedures, including Sarbanes-Oxley are in place for all key areas

Experience For Fixed Income Portfolio Manager, Treasury Resume

  • Provide periodic reporting to PC HQ, PFI-GT (Netherlands) and PNA HQ
  • Review Treasury related GAAP and Statutory reporting schedules
  • Responds to auditor and regulatory requests, work with accounting and legal to address
  • Interactions with credit rating agencies to provide required updates
  • Self-driven and strategic forward looking thinker
  • Analyze the impact of financial markets related to foreign exchange dynamics affecting the company’s cost of capital, products and or overhead
  • Prepares debt agreement covenant compliance reporting
  • Manages cash flow forecasting process
  • Take a lead in internal funding, internal risk transfer and balance sheet optimization across XL Group entities

Experience For Senior Manager, Treasury Systems Resume

  • Act as a contact point for Treasury regarding balance sheet management topics in the coordination of activities with rest of Finance, Legal, Risk and Business
  • We require an individual who is willing and able to take ownership of key processes, reports, and procedures, with a continuous improvement mindset
  • An ability to express yourself clearly in English (both in writing & orally) is required
  • A proficiency in Microsoft Office programs (including Excel) as well as financial systems is required
  • In conjunction with the organization’s FSG, oversee the worldwide monthly cash flow forecasting process
  • Manage hedging requirements and foreign exchange exposure

Experience For Manager Treasury , Month LTD Resume

  • Coordinate annual bond rating review and manage relationships with agencies
  • Responsible for driving business focus and process improvements around cash collection and DSO
  • Provide guidance and support to operational leadership for strategic and long term planning
  • Thrive in a quickly changing environment
  • Assist in maintaining the Company’s bank account structure, treasurer’s delegations, and the execution of bank authorization documents
  • Assist in the set-up of new bank accounts, service modifications and closure of bank accounts for the Company’s banking structure as required
  • Act as a leader of the finance organization, helping to set the direction, culture and tone of the organization

Experience For Manager, Treasury & Taxation Resume

  • Advanced knowledge of Cash Management, Liquidity Management, Investments, and Working Capital
  • Technically proficient in use of Excel, PowerPoint, Word, Oracle, and web-based Banking portals
  • Support reporting and communication to senior management and Board of Directors with analysis, metrics and presentations on quarterly basis
  • Analyse new regulatory requirements affecting the Treasury activities and implement required changes
  • Setup and follow up reports related to cash position, accounts payable aging, KPIs
  • Sarbanes Oxley testing for Treasury processes
  • Perform analysis and reporting in response to regulatory requirements (ie CCAR, ICAAP)
  • Provide input for future system conversions, upgrades, modeling enhancements, and other ad hoc projects

List of Typical Skills For a Manager, Treasury Resume


Skills For Senior Manager, Treasury Resume

  • Strong understanding of Treasury accounting principles around debt and hedge accounting including prior experience with booking journal entries
  • Strong interpersonal skills with ability to work well with all levels of staff including senior management as well as and outside financial institutions
  • Strong organizational and problem solving skills with ability to identify problems, develop solutions and take action to resolve issues
  • Strong communication skills, including English and Mandarin
  • Strong organizational, critical thinking and internal/external customer service skills
  • Effective coaching, leadership and conflict management skills
  • Strong Excel, PowerPoint, Bloomberg, Reval, FXall skills

Skills For Manager Treasury Resume

  • Excellent and organizational skills required
  • Strong FP&A experience, forecasting and reporting
  • Effectively handle and resolve numerous ongoing communications. and reporting deliverables in fast paced environment for multiple audiences
  • Exceptional forecasting and financial modeling skills
  • Demonstrated experience leading a treasury organization

Skills For Manager, Treasury Processes Resume

  • Sound knowledge with financial mathematical skills, and accounting principles
  • Advanced finance modeling skills; deep knowledge of corporate finance theory and practices
  • Superior interpersonal skills including the ability to work with diverse personalities
  • Relevant experience: Experience in Treasury departments in quantitative / analytical role, in a Corporate setting or at a Financial Institution
  • Experience with corporate foreign exchange hedging strategies, operations, and accounting. Experience with and detailed knowledge FAS 133/ASC 815 requirements
  • Effectively apply collaboration and teamwork combined with inclusion, motivation, passion and an open mind to accomplish the goals
  • Detailed oriented and ability to multi-task; works well under pressure and can effectively manage deadlines and think “outside the box”
  • Treasury experience required and more than 10+ years of overall industry experience

Skills For Manager, Treasury Management Resume

  • Prioritizing work and managing projects, in addition to monthly/quarterly workload
  • Manage, optimize and execute the FX hedging programs from gathering exposures, validating data, executing trades, risk monitoring, and reporting
  • Experience in processing, cleansing and verifying the integrity of data used for analysis and investment reporting
  • Foster and demonstrate leadership by serving others, building trust, and exceeding expectations
  • Experienced in managing multiple projects and tasks at one time and meeting competing deadlines

Skills For Manager Treasury Management Resume

  • Recognized as an effective partner with other groups in the organization by challenging, providing guidance, and proposing solutions
  • Knowledge and experience implementing and maintaining compliance with Sarbanes-Oxley legislation
  • Build effective working relationships with internal stakeholders, banking partners and vendors
  • Strong knowledge of finance concepts, accounting and financial reporting related to Treasury
  • Demonstrated understanding of investment theory, evaluating investments, assets classes, risk / return

Skills For Senior Manager, Treasury Modeling Resume

  • Ensures compliance and good standing with financial institutions by providing financial statements and analysis to satisfy required ratios and debt covenants
  • Experienced in working in multinational banking platform environment
  • Experience in an accounting or financial role, with a track record of increasing responsibilities
  • Treasury / finance / banking experience
  • Cash Management and/or Banking Operations experience
  • Experience in overseeing the management of defined benefit and defined contribution plan assets for a publicly-traded corporation
  • Strong knowledge of FX accounting standards (ASC 815/ASC 830)
  • Experience in Corporate Treasury or Banking required

Skills For Fixed Income Portfolio Manager, Treasury Resume

  • Large multi-national corporate management / Corporate Treasury and banking experience
  • Establish performance benchmarks and reporting on hedge effectiveness, P&L and cash flow impact
  • Three to five years of relevant treasury, corporate finance, financial services or banking experience
  • Experience with technical accounting (i.e. M&A, transaction services)
  • Experienced in working in a team environment
  • Experience with multiple currency trading
  • Leadership experience with increasing responsibilities
  • Demonstrated ability to communicate with senior management and represent Battelle with outside vendors

Skills For Senior Manager, Treasury Systems Resume

  • Impeccable ethics and strong commitment to Flowserve’s values, strategies, and operations
  • Finance and treasury experience in a substantial, publicly held global company
  • Experience deploying “best practice” global treasury processes
  • Broad business perspective with proven strategic analytical capability
  • Post-secondary education with 5-8 years’ experience in IS business systems analysis, and/or development
  • Experience in a Treasury department or similar group
  • Demonstrated ability to streamline and automate processes
  • Prioritize, lead multiple projects, and execute in a fast-paced environment
  • Manage and coach a team, developing effective teamwork to meet treasury objectives

Skills For Manager Treasury , Month LTD Resume

  • Proven decision making and analytical abilities
  • Good understanding of various financial products (fixed income/derivatives would be an advantage)
  • Experience in Treasury management and middle office environment
  • Merger, acquisition, joint venture deals experience (pre-close and integration) highly desirable
  • Communicate priorities, deliverables, issues and results to management in timely manner

Skills For Manager, Treasury & Taxation Resume

  • Operate in a matrix style, fast paced business environment
  • Communicating job expectations; planning, monitoring, and appraising job results
  • Understanding of financial modeling and financial concepts
  • Understanding of Treasury concepts (i.e. bonds, FX, derivatives, divestitures, capital allocation, etc.)
  • Supporting carrier management initiatives (eg new local establishments) and taking ownership of treasury related tasks
  • Responsible for ensuring RDARR compliance for Liquidity Risk reporting requirements, including but not limited to the following
  • Manages all bank accounts and day-to-day banking relations, including managing and forecasting of cash flow and the ability/need to borrow funds
  • Responsible for hiring, coaching and counseling employees, including performance reviews
  • Responsible for processes and deliverables related to the monthly liquidity reporting, including but not limited to the following

List of Typical Responsibilities For a Manager, Treasury Resume


Responsibilities For Senior Manager, Treasury Resume

  • Effectively communicate liquidity forecasts and analyses to senior leadership team including CFO
  • Treasury or relevant experience required and overall 8+ years of industry experience
  • Understand business needs and effectively communicate with key stakeholders
  • Relevant work experience in a Treasury or Treasury-related function is required
  • Operational Treasury experience within a corporate environment
  • Managerial experience in a supervisory capacity
  • Organizational cash management experience

Responsibilities For Manager Treasury Resume

  • Consolidate global foreign exchange forecasts and perform related variance analysis
  • Develop strong working relationships with bank providers and internal business units
  • Optimize the foreign exchange spot and derivatives trading end-to-end processes including improving existing Treasury systems
  • Prepare monthly, quarterly and annual cash forecasting metrics including historical analysis and modeling
  • Decides on short-term, non-portfolio investments to make, including the type, length and dollar amount of investment
  • Manages operational working capital and settlement requirements
  • Monitors cash position and cash flow forecasts, performs financial modeling that links cash activities to the financial statements and general ledger
  • Manage the cash distribution from the subsidiaries to the Holding and Tax Partners

Responsibilities For Manager, Treasury Processes Resume

  • Identifies and facilitates potential process improvements, including system enhancements
  • Manages banking relationships, bank account setup, and signatory listings
  • Encourages staff to examine, question and improve existing processes
  • Coaches staff in understanding Treasury functions and responsibilities
  • Develops and implements staff cross training plans
  • Leads regularly scheduled staff meetings to direct team in meeting individual, department and company goals
  • Knowledge of banking systems and online platforms
  • Creates and updates debt investor and rating agency presentation materials

Responsibilities For Manager, Treasury Management Resume

  • Partners with banks and other partner relationships to provide transaction support to debt capital market and bank financing activities
  • Drive FTP and deposit forecasting projects
  • Open / close bank accounts and change of bank mandate for the region as required. Coordinate with bank to review banking facilities
  • Develop new foreign exchange capabilities to support new business initiatives involving cross-border payments
  • Provide analytical financial support across various treasury functions/special projects: pensions, capital planning and investments as needed

Responsibilities For Manager Treasury Management Resume

  • Management of daily cash and working capital requirements to support operations
  • Monitor financial risks from foreign exchange exposure, interest rate exposure and counterparty exposure; manage and execute hedging strategy
  • Oversee liquidity management, cash movement strategies, banking relationships, bank service charge expenses, and other related treasury operations
  • Evaluate and approve requests for intercompany funding and dividends
  • Work independently across business functions and regions
  • Self-driven and strategic thinker
  • Interact professionally with all levels of people
  • Continuous improvement and business partner mindset to support the company’s growth objectives
  • Develops and implements cash management operational strategies and controls in accordance with the company’s investment policy and 404 internal control documentation

Responsibilities For Senior Manager, Treasury Modeling Resume

  • Bank account management and wire transfer authority
  • Budget and cost code management for treasury function
  • Invoice approval and oversight
  • Monitor and manage company's daily cash position, invest excess cash per company Investment Policy and conduct bank transfers
  • Work closely with commercial bank and brokerage relationships to address account controls, account opening/closures, cost saving initiatives, and new cash management tools
  • Work with company’s insurance broker and carriers on annual D&O, E&O, P&C and other insurance renewals, ongoing risk assessment, and managing claims and audits as they arise
  • International experience a strong positive
  • Group Treasurer / Group Treasury
  • Financial Directors and treasury contacts of all NAM subsidiaries

Responsibilities For Fixed Income Portfolio Manager, Treasury Resume

  • North American Commercial Finance (brands, wholesale/retail)
  • Quickly learn business strategies and markets
  • Drive to complete complex and technical project
  • Coordinate with local units on cash projections for accurate daily cash management and management of cash pool structures
  • Perform cash flow variance analysis and support customization of respective reports in the Treasury Management System (TMS)
  • Investigate plan deviations with the responsible subsidiaries
  • Ensures proper setup and efficient use of Momentive’s global Treasury Management System (TMS) and electronic banking systems to effectively manage and report on treasury transactions
  • Acts as global liaison for Society for Worldwide Interbank Financal Telecommunication (SWIFT) bank connectivity – manage relationship, agreements and addition of new bank partners to Momentive’s SWIFT connectivity

Responsibilities For Senior Manager, Treasury Systems Resume

  • Work with company's insurance broker and carriers on annual D&O, E&O, P&C and other insurance renewals, ongoing risk assessment, and managing claims and audits as they arise
  • Balance Sheet and Cash Flow forecasting / Financial modeling
  • Capital structure analysis and Debt management
  • Develop and execute the company’s foreign exchange risk management program and strategies, including managing the company’s cash flow, balance sheet, and translation hedging programs
  • Provide key information and analysis for Mastercard’s Foreign Exchange SEC disclosures (10Q footnote)
  • Mastery of corporate finance and capital markets concepts (e.g., present value analysis)

Responsibilities For Manager Treasury , Month LTD Resume

  • Excellent oral and written communication skills and interpersonal skills with emphasis on building strong, longer-term relationships worldwide across varying geographies and functions
  • Drive for results in an ever evolving business environment with a desire to continuously improve existing processes
  • Partner with business units to align on working capital assumptions for cash flow models and manage the preparation of cash flow models
  • Continuously optimize Working Capital to accomplish the target FCF and Cash balance
  • Work closely with cross functional teams to continuously assess changing business environment and timely assess impact to Treasury operations

Responsibilities For Manager, Treasury & Taxation Resume

  • Manage Letter of Credit requests with requesting companies globally
  • Assists cash management personnel as required to support overall cash forecasting for the Company
  • Self-motivated and inquisitive, able to manage sensitive information, and to communicate and make decisions under pressure
  • Have worked as part of a team but able to solve issues independently (self-starter mentality)
  • Manage and forecast the cash and financing needs of the company, ensuring funds are available to meet the company’s ongoing operational and capital investment requirements

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