Senior Director, Treasury & Capital Markets

Transamerica

Philadelphia (Philadelphia County)

Hybrid

USD 290,000 - 320,000

Full time

14 days+
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Benefits offered by this job

Competitive Pay
Annual Bonus
Pension Plan
401(k) Match
Employee Stock Purchase Plan
Tuition Reimbursement
Medical Insurance

Job summary

Transamerica is seeking a senior leader to provide strategic guidance across capital markets, treasury, and derivatives to optimize funding and manage risk. You will advise senior leaders on funding strategy, market execution, and hedging.

This role requires deep expertise, international experience, and a track record of leading complex transactions under tight timelines. The position supports hybrid work in the United States, with potential travel for business engagements.

Qualifications

  • Bachelor’s degree in business or finance is required.
  • Twelve years of experience in corporate finance, treasury, capital markets, or derivatives.
  • Proficiency with MS Word, Excel, and PowerPoint.

Responsibilities

  • Originate, structure, and execute debt and equity capital markets transactions.
  • Develop and execute enterprise funding strategies.
  • Manage strategic interest rate, currency, and derivative activities.
  • Maintain access to global capital markets by managing relationships with investors and banks.
  • Oversee funding programs, credit facilities, and related documentation.

Skills

MS Word
MS Excel
PowerPoint

Education

Bachelor’s degree in business or finance
MBA

Job description

Job Description Summary

Provide strategic leadership and subject matter expertise across capital markets, structured finance, treasury, and derivatives to enable efficient funding, optimize capital structure, and manage financial risks in support of enterprise financial objectives. Exercises a high degree of independent judgement and advises the CFO, Investor Relations and other senior leaders on funding strategy, market execution and risk positioning.

Responsibilities
  • Originate, structure, and execute debt and equity capital markets transactions in alignment with regulatory, rating agency, tax, legal, and accounting requirements.
  • Develop and execute enterprise funding strategies to support liquidity, capital, and balance sheet objectives.
  • Manage strategic interest rate, currency, and derivative activities to position the balance sheet and hedge financial risks.
  • Maintain access to global capital markets by managing relationships with investors, banks, lenders, and other market participants.
  • Oversee funding programs, credit facilities, and related documentation to ensure ongoing market readiness.
  • Monitor, analyze, and report on capital markets conditions, regulatory developments, and market trends to inform funding and hedging decisions.
  • Coordinate cross‑functional execution with legal, tax, finance, investor relations, and business units to deliver transactions within approved parameters.
  • Lead and coach team members and virtual teams to achieve strategic and operational objectives.
  • Support funding and structured finance initiatives for domestic and international business units.
  • May lead or participate in enterprise initiatives related to new business activities, valuation matters, regulatory change, or treasury policy development.
Qualifications
  • Bachelor’s degree in business or finance.
  • Twelve years of experience in corporate finance, treasury, capital markets, or derivatives within financial services.
  • In‑depth knowledge of debt and equity capital markets instruments and derivatives.
  • Strong understanding of regulatory, tax, legal, and accounting frameworks related to funding and hedging transactions.
  • Demonstrated experience leading complex transactions under tight timelines.
  • Proven ability to collaborate across functions and operate effectively in international environments.
  • Proficient in MS Word, Excel, and PowerPoint.
Preferred Qualifications
  • Master of Business Administration (MBA).
  • Experience with structured finance and hybrid capital instruments.
  • Experience supporting funding strategies across multiple jurisdictions.
Working Environment

This is either a hybrid position requiring three days in office per week in one of our main locations (Philadelphia, PA, New York, NY, Denver, CO, Cedar Rapids, IA or Baltimore, MD) or Work From Home/Remote based in the United States with occasional travel for business unit engagement and leadership meetings.

Compensation

The salary for this position generally ranges between $290,000 - $320,000 annually. The salary range is an estimate and may vary above or below the stated amounts based on qualifications, experience, geography, work location designation, and operational needs. The position is typically eligible for an annual bonus based on the Company Bonus Plan/Individual Performance and is at the Company’s discretion.

Applicants must possess legal authorization to work for the company in the U.S. without the need for immigration sponsorship. At this time, this role is not eligible for immigration-related employment authorization sponsorship.

Benefits
  • Competitive Pay
  • Annual Bonus for Eligible Employees
  • Pension Plan
  • 401(k) Match
  • Employee Stock Purchase Plan
  • Tuition Reimbursement
  • Disability Insurance
  • Medical Insurance
  • Dental Insurance
  • Vision Insurance
  • Employee Discounts
  • Career Training & Development Opportunities
  • Paid Time Off starting at 160 hours annually for employees in their first year of service.
  • Ten paid holidays per year.
  • Wellness Program, including Wellness Coaching and Reward Dollars
  • Parental Leave – fifteen days of paid parental leave per calendar year for eligible employees.
  • Adoption Assistance
  • Employee Assistance Program
  • Back‑Up Care Program
  • PTO for Volunteer Hours
  • Employee Matching Gifts Program
  • Employee Resource Groups
  • Inclusion and Diversity Programs
  • Employee Recognition Program
  • Referral Bonus Programs
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