ICF Next

Vice President, Treasurer

ICF Next • $232K — $395K *
Finance & Insurance
11 - 15 years of experience
Job Overview by Ladders

Qualifications

  • 15+ years of finance and treasury experience
  • Proven leadership role within Treasury function
  • 5+ years direct staff management experience
  • Expertise in financial analysis and corporate finance
  • Strong financial modeling skills and M&A experience
  • Bachelor's degree in accounting or finance

Responsibilities

  • Lead strategic financing and working capital assessments
  • Manage long-term financial modeling and cash flow planning
  • Evaluate financing alternatives to optimize capital structure
  • Oversee debt management and compliance functions
  • Lead global cash flow forecasting and liquidity planning
  • Develop and implement treasury management strategies
  • Assist in treasury aspects of M&A programs

Benefits

  • Comprehensive health insurance plans
  • 401(k) plan with company matching
  • Annual performance bonuses
  • Professional development opportunities
  • Support for certifications and further education
Full Job Description
Vice President, Treasurer ICF is a growth-oriented company with revenues of nearly $2B. We seek a Vice President and Treasurer to lead the Treasury team in Reston, VA. Working closely with the Chief Financial Officer (CFO) and with the most senior members of management, you will be responsible for developing and maintaining a capital structure in support of company's growth, managing interest rate and foreign currency risks, leading global banking operations, managing the company's insurance programs, ensuring adequate liquidity for current and future operational needs and supporting M&A due diligence, financing and integration. You will be integral to ensuring ICF is positioned to make innovative decisions that optimize capital structure, resource allocation, growth investments, and risk management. As a Vice President, Treasurer at ICF you will report to the CFO and perform an essential function within the Financial Leadership Team, helping build consensus and commitment necessary to ensure effective implementation of Treasury policies and initiatives across all corporate functions and operating groups. In this role, you will work closely with various external parties such as banks and external counsel, as well as internal stakeholders in FP&A, Accounting, Tax, Legal, and Business Operations. You will manage a team of professional staff and be responsible for garnering direct support from the Operating Groups where specific business expertise and knowledge of the market is needed. Key Responsibilities: - Lead efforts to identify strategic financing and working capital needs, perform required analytics, and work with internal partners (including corporate development, tax, accounting, legal and operations) in evaluating financing alternatives, capital structure, capital investments, and cost of capital. - Own and manage the long-term financial statement and cash flow planning model which is used to evaluate and help optimize the company's liquidity and capital structure. - Lead efforts to evaluate financing alternatives, capital structure and capital allocation decisions to lower cost of capital, maintain adequate liquidity, and enhance shareholder value. - Develop recommendations and manage share buyback and dividend programs. - Oversee debt management functions, debt covenant compliance and reporting, issuance of Letters of Credit, Guarantees and ensuring the Company meets its obligations and maintains a strong financial position. - Lead the management of all banking relationships - Oversee global cash flow forecasting, liquidity planning, and working capital optimization. - Manage financial risk as it relates to treasury operations. Assess foreign exchange risk, implement hedging strategies/oversee interest rate management. - Develop and deliver quarterly and ad-hoc presentations regarding treasury related topics to executive management and Board of Directors - Recommend, develop, and implement short-term cash investment strategies. Manage investment of excess funds. - Lead the design and implementation of treasury management strategies to ensure the effective operation of the treasury function, to include leading supporting systems evaluation and implementation efforts. - Establish, maintain, and institutionalize appropriate policies and procedures in support of treasury strategies to ensure an effective control framework. - Oversee insurance programs and relationships with brokers and underwriters. Manage Surety/Bid/Performance Bonds. - Assist in developing, implementing, and managing all aspects of our treasury merger & acquisition program, including the related due diligence and financial modeling. Oversee the integration of acquired firms into cash management processes and systems. Required Qualifications: - 15+ years of progressively responsible positions in finance and treasury - Leadership role within the Treasury function - 5+ years of direct staff management experience and proven ability to effectively lead resources from other parts of the company - Experience building, leading, and developing a high-performing team of financial professionals - Demonstrated expertise of financial analysis and corporate finance theory and application - Demonstrated expertise with financial modeling skills, including experience with sensitivity modeling, long-term planning, and M&A modeling - Experience creating, communicating, executing, and sustaining strategic initiatives across company - Bachelor's degree in accounting or finance. Preferred Qualifications: - Master's in Business Administration (MBA) - Chartered Financial Analyst (CFA) or Certified Treasury Professional (CTP), preferred. - Working knowledge of multiple online banking platforms - Experience working in Federal, Commercial, and International consulting firms preferred. - Experience pulling reports and building ad hoc analysis on IBM's Hyperion, Deltek's CostPoint accounting systems, or other ERP system - Experience using Bloomberg Professional Skills: - Exceptional leadership and interpersonal skills with demonstrated high emotional intelligence, a passion for teamwork, and a rigorous drive for results to address the challenges of strategic financial leadership in a fast growth environment. - Excellent writing and presentation skills, with extensive experience writing both technical financial opinions and clear communications of financial principles to a non-financial audience. - Superb analytical and qualitative strategic thinking capabilities and outstanding influencing and collaboration skills; coupled with a drive to implement innovative solutions. - Embodies a "One ICF" philosophy and commits to ICF's high level of integrity and company values, including compliance with all legal and ethical standards. #LI-CCI #Indeed Bot and Third-Party Applications Please note that this application must be submitted directly by the applicant for consideration. Failure to do so may result in the application being excluded for consideration. Applicants needing an accommodation for disability or religious purposes in connection with the application process should contact [email protected] for assistance. Pay Range - There are multiple factors that are considered in determining final pay for a position, including, but not limited to, relevant work experience, skills, certifications and competencies that align to the specified role, geographic location, education and certifications as well as contract provisions regarding labor categories that are specific to the position. The pay range for this position based on full-time employment is: $232,527.00 - $395,296.00 Reston, VA (VA30)

About ICF Next

ICF Next is a global marketing and communications agency that provides a wide range of services to clients in various industries, including healthcare, energy, and transportation. The company was founded in 1969 and is headquartered in Fairfax, Virginia. ICF Next offers a comprehensive suite of services, including branding, digital marketing, public relations, and social media management. The company has a strong reputation for delivering innovative and effective solutions that help its clients achieve their business objectives. ICF Next is committed to sustainability and social responsibility, and it has received numerous awards for its work in these areas.
Learn more about ICF Next
Size
8,000 employees
Market Cap
$1.8 billion
Industry
Net Income
$54.9 million
Founded
1969
5 Year Trend
+5.6%
Revenue
$1.5 billion
NASDAQ

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