Sr Finance Manager - Commecial Risk & Trade Finance

Aspen Technology, Inc.

Bedford (MA)

On-site

USD 115,000 - 144,000

Full time

9 days ago
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Benefits offered by this job

Paid time off
Charitable giveback day
Medical/dental/vision insurance
Retirement benefits

Job summary

Aspen Technology, Inc. in Bedford, MA is seeking a Sr. Finance Manager, Corporate Risk & Trade Finance to lead the company's risk management activities, including trade finance, insurance, and corporate risk.

You will partner with Finance, Treasury, Legal, Compliance, Sales and Project teams, manage instruments, and translate complex issues into clear recommendations for senior leadership. Strong Excel, Oracle, Jira experience required.

Qualifications

  • Bachelor's degree in accounting, finance, or related field; MBA or advanced degree preferred.
  • 10–12 years of professional experience in finance including corporate treasury.
  • Proven leadership experience managing complex long-term projects.
  • Exceptional organizational skills for multiple high-priority projects.
  • Advanced expertise in Excel and experience with BI tools.
  • Experience with Oracle ERP, Jira, banking platforms, and analytical tools.
  • Ability to synthesize and present data to senior leadership.
  • Strong interpersonal skills to coordinate with diverse stakeholders.

Responsibilities

  • Own day-to-day coordination of corporate risk management across Finance, Treasury, Legal, Sales, and other teams.
  • Manage lifecycle of trade finance instruments: bid bonds, performance guarantees, LCs, and other instruments.
  • Coordinate applications, issuance, monitoring, renewals, and release with Treasury and banking partners.
  • Use Jira or workflow tools to track requests, statuses, aging, bottlenecks, and open risk items.
  • Monitor open and expiring guarantees, bonds, and insurance certificates.
  • Coordinate certificate of insurance requests and coverage evidence.
  • Support contract negotiations by identifying insurance, indemnity, liability, and trade finance requirements.
  • Partner with Legal and Commercial teams to evaluate non-standard contract terms and ensure risk acceptance.
  • Comply with DOA guidelines and escalation paths for insurance and trade finance decisions.
  • Translate complex insurance and trade finance issues into clear business recommendations for leadership.
  • Improve deal review discipline by ensuring insurance and trade finance requirements are reviewed before contracts are signed.
  • Lead education of Sales, Project Management, Legal, and Finance on trade finance and insurance requirements.

Skills

Finance leadership
Excel
BI tools
Communication
Interpersonal skills
Project management
Data synthesis

Education

Bachelor's degree in accounting/finance
MBA or advanced degree

Tools

Jira
Oracle ERP

Job description

The driving force behind our success has always been the people of AspenTech. What drives us, is our aspiration, our desire and ambition to keep pushing the envelope, overcoming any hurdle, challenging the status quo to continually find a better way. You will experience these qualities of passion, pride and aspiration in many ways - from a rich set of career development programs to support of community service projects to social events that foster fun and relationship building across our global community.

The Role

As a Sr. Finance Manager, Corporate Risk & Trade Finance at AspenTech, you will lead the company's coordination of trade finance, insurance, and corporate risk management activities. In this role, you will serve as the central point of ownership for risk matters spanning performance guarantees, bid bonds, letters of credit, certificates of insurance, workers' compensation, and more. You will partner closely with internal stakeholders across Finance, Treasury, Legal, Compliance, Sales, Commercial Finance, and Project teams, as well as Emerson corporate functions. The role requires strong financial judgment, project management discipline, and the ability to influence senior stakeholders while bringing structure, transparency, and accountability to processes that directly impact customer negotiations, contract execution, compliance, and commercial risk management.

Your Impact
  • Own day-to-day coordination of corporate risk management activities across Finance, Treasury, Legal, Sales, Commercial Finance, and other internal teams
  • Manage the lifecycle of trade finance instruments, including bid bonds, performance guarantees, letters of credit, and other instruments
  • Partner with Treasury and banking partners to coordinate applications, issuance, monitoring, renewals, and release of trade finance instruments while clarifying execution responsibilities
  • Use JIRA or other workflow tools to track requests, assignees, statuses, aging, bottlenecks, expiration dates, and open risk items.
  • Monitor open and expiring guarantees, bonds, insurance certificates, and other risk instruments
  • Coordinate certificate of insurance requests, coverage evidence, and stakeholder follow-up
  • Support contract negotiations by identifying insurance, indemnity, liability, parent guarantee, performance guarantee, and other trade finance requirements
  • Partner with Legal and Commercial teams to evaluate non-standard contract terms and ensure business risk acceptance is explicit and approved by the appropriate decision makers
  • Comply with approval matrices, DOA guidelines, and escalation paths for insurance and trade finance decisions
  • Translate complex insurance and trade finance issues into clear business recommendations for senior finance and commercial leadership
  • Improve front-end deal review discipline by ensuring insurance and trade finance requirements are reviewed before contracts are signed
  • Lead education of Sales, Project Management, Legal, and Finance teams on trade finance and insurance requirements, including common red flags and required lead times
What You'll Need
  • Bachelor's degree in accounting, finance, or a related field; MBA or relevant advanced degree preferred.
  • 10-12 years of professional experience in finance, including substantial experience in Corporate Treasury.
  • Proven leadership experience, with the ability to manage complex long-term projects.
  • Exceptional organizational skills with the capability to manage multiple high-priority projects simultaneously.
  • Advanced expertise in Excel and experience building and using business intelligence tools.
  • Extensive experience with Oracle or similar ERP systems, Jira, banking platforms, and other analytical tools.
  • Ability to synthesize and present complex data to senior leadership in a clear and actionable manner.
  • Strong interpersonal skills with the ability to effectively solicit information and foster cooperation from diverse internal and external stakeholders.

The salary range for this role is $115,100.00 - $143,900.00. This range represents what we in good faith believe is the range possible for base compensation for this role at the time of this posting. We may ultimately pay more or less than the posted range based on several factors. This range may be modified in the future. This role is also eligible for bonus or variable incentive pay.

  • paid time off
  • charitable giveback day
  • medical/dental/vision insurance
  • retirement benefits to eligible employees
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