Role Description
The Vice President of Treasury & Investor Relations is a strategic finance leader responsible for shaping and executing the company’s capital markets strategy, financial narrative, and global treasury operations. This role ensures alignment between investor messaging, capital allocation, and liquidity management to support long-term value creation, financial resilience, and strategic growth.
Key Responsibilities
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Investor Relations & Financial Communications
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Lead the company’s investor relations strategy and serve as the primary point of contact for investors, analysts, and rating agencies.
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Develop and deliver quarterly earnings materials, investor presentations, and broader financial communications.
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Craft and refine the company’s financial narrative to clearly articulate strategy, performance, and long-term value creation.
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Monitor market trends, investor sentiment, and competitive dynamics to inform executive decision-making and messaging.
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Ensure compliance with all disclosure requirements and uphold best practices in external communications.
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Treasury & Capital Markets
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Oversee global treasury operations, including cash management, liquidity planning, and capital structure strategy.
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Manage banking relationships, credit facilities, and financing activities, including debt issuance and refinancing.
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Support capital allocation decisions across debt, equity, and strategic investments.
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Maintain strong internal controls and risk management practices across treasury activities.
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Strategic Leadership & Partnership
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Partner closely with the CEO, CFO, and Board of Directors on financial strategy, capital markets positioning, and risk management.
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Provide insights and recommendations based on market intelligence and financial analysis.
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Lead and develop high-performing Treasury and Investor Relations teams, fostering a culture of excellence and accountability.
Qualifications
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Significant experience in treasury, investor relations, corporate finance, or a related field, ideally within a public company environment.
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Strong understanding of capital markets, financial strategy, and investor engagement.
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Proven ability to communicate complex financial information clearly and effectively to external stakeholders.
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Experience managing liquidity, capital structure, and financing activities.
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Demonstrated leadership capability with experience building and managing high-performing teams.
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Executive presence with the ability to influence senior leadership and Board-level discussions.
Preferred Experience
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Background in industries such as BPO, IT services, SaaS, fintech, healthcare, or related sectors.
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Experience engaging with rating agencies and institutional investors.
Benefits
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Health and Welfare Benefits: Our health and welfare benefits can be tailored to fit you and your family's needs and start on the first day of employment.
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Retirement Savings: We will support you as you save for your future.
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Employee Discounts: We offer you access to a vast selection of global, national, and local discounts on merchandise, services, travel, and more.
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Career Growth Opportunities: We help you thrive, so together, we can grow. We provide opportunities to advance your career with a vast portfolio of businesses and a global footprint.
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Paid Training: Earn while you learn and continue to grow with access to award-winning learning platforms throughout your Conduent career.
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Paid time off: We provide attractive paid time off packages designed for you to enjoy your life away from work.
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Great Work Environment: We are proud of our award-winning culture and the recognition we’ve received for our diversity efforts.