Charlotte, North Carolina, USA
16 days ago
Corporate Planning & Treasury Manager
Company:Driven Brands

We invite you to join us at Driven Brands!

Headquartered in Charlotte, NC, Driven Brands (NASDAQ: DRVN) is the largest automotive services company in North America, providing a range of consumer and commercial automotive needs, including paint, collision, glass, vehicle repair, oil change, maintenance and car wash.

With over 4,500 centers in 15 countries, Driven Brands is the parent company of some of North America’s leading automotive service brands including Take 5 Oil Change, Take 5 Car Wash, Driven Glass, Meineke, Maaco, CARSTAR, and more.  Our network services over 50 million vehicles annually and generates more than $5 billion in system-wide sales each year.

Our culture inspires high performance and innovation, enabling our employees to go further, faster in their careers. With amazing people and great brands, we confidently look forward to exciting growth ahead, and believe in following the values that support this vision.

JOB DESCRIPTION:

Position Summary:

The Corporate Planning and Treasury Manager will assist senior leadership in supporting long-term strategic financial planning and treasury functions of the company. Responsible for developing and maintaining financial models, conducting financial analysis, and assisting in the management of the company's financing strategy including liquidity, funding, capital structure and capital partner relationships and financial reporting. Collaborates across cross-functional teams including business unit leaders, corporate tax, human resources, and FP&A to effectively forecast future performance and refine financial model assumptions

ESSENTIAL FUNCTIONS:

80% of Job: Financial Planning, Modeling, and Presentations

Designs, develops, and maintains a three- statement financial model to support strategic decision-makingCreate and prepare high quality presentations and reports that will assist with strategic decision making by executive leadership.Assist in the preparation of the annual budget, long-term financial plans, and forecasts. Analyze financial performance, identify trends, and provide actionable insights.Collaborate with leaders in Finance and Business Units to recommend key forecasting assumptions, including capital spending and debt capacity.Assist in the development and execution of the company's funding strategy, including debt issuance and management.Coordinate with capital partners, rating agencies, and other financial institutions to manage relationships and optimize financing options.

 

20% of Job: Financial Analysis & Reporting

Prepare regular financial reports and presentations for internal and external stakeholders, including debt compliance.Collaborate with other finance team members to ensure accurate and timely financial reporting. Analyze and report on key metrics comparison to industry competitors.

 

Qualifications:

Bachelors Degree required, preferably in Finance, Accounting, Economics, or related fields.2-5 years of experience in Treasury, Corporate Planning or related experienceMinimum of advanced Excel experience (pivot tables, VLOOKUPs, formulas).Experience with ERP systems, preferably Oracle Cloud.Strong proficiency in cash flow forecasting, treasury planning, and banking operations.Excellent communication and presentation skillsPreferred experience with presenting to C- Suite/Executive level

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