Become a Part of the NIKE, Inc. Team
NIKE, Inc. does more than outfit the world’s best athletes. It is a place to explore potential, obliterate boundaries and push out the edges of what can be. The company looks for people who can grow, think, dream and create. Its culture thrives by embracing diversity and rewarding imagination. The brand seeks achievers, leaders and visionaries. At NIKE, Inc. it’s about each person bringing skills and passion to a challenging and constantly evolving game.
NIKE Global Treasury designs, implements, and communicates the risk mitigation strategies and funding mechanisms needed to make the world’s largest sports brand run faster, smarter, and more securely. We leverage internal and external relationships to ensure that NIKE is poised to achieve growth initiatives, working alongside business partners to ensure effective foreign exchange risk management, global liquidity, and capital planning, as well as develop poignant presentations and insightful commentary to provide a forward-looking view of macroeconomic conditions. Leading with a global focus, the team covers capital planning, investments, global foreign exchange, cash and banking, and risk finance and claims. NIKE Global Treasury brings together strategy, macroeconomic perspectives, and process excellence to create value for the consumer. We deliver risk mitigation strategies, funding solutions, and planning capabilities that enable NIKE, Inc.’s business and brands worldwide.
WHO WE ARE LOOKING FOR
We are looking for a Treasury Senior Financial Analyst to join the Global Cash and Banking team. Global Cash and Banking team manages all aspects of NIKE’s cash management, including intercompany funding, investments, banking infrastructure, cash flow forecasting, fee rationalization and Treasury payments. You will be part of the team that manages NIKE’s multibillion dollar cash portfolio, and support daily liquidity needs, FX back office, collateral management, and cash flow forecast. Successful Senior Finance Analysts are analytical thinkers that can communicate effectively with strong communication skillsets with cross-functional stakeholders while handling competing priorities in a quickly changing environment.
WHAT YOU WILL WORK ON
On a daily basis, you will be performing cash liquidity analysis, proposing funding needs, and executing key Treasury payments, including share repurchase, bond, derivative collateral, and dividends. You will be involved in supporting NIKE global cash flow forecasting, collaborating with local entities for funding needs, execute monthly intercompany loans and supporting NIKE’s multibillion dollar overnight investment portfolio, and related risk management activities.
WHO YOU WILL WORK WITH
You will be reporting to the Treasury Manager – Global Cash and Banking. Successful execution will require working closely with key cross-functional partners in Capital Markets, Global Payment, O2C, Controlling, Tax, and Legal. Additionally, you will assist with leveraging NIKE’s external relationship banks for banking infrastructure, derivative collateral, FX settlement and collaborate with investment asset managers that we may work with to support achieving investment objectives.
WHAT YOU BRING
Bachelor’s or Master’s degree in Finance, Accounting, Economics or other business-related field, or an equivalent combination of education, experience, and training
3-5+ years of experience at the Global Headquarters of a publicly traded multinational company or at a financial services company
3-5+ years of experience in Treasury, or related field in Corporate Finance, Controlling, and/or Investment Banking
Excellent problem solving, critical thinking and analytical skills with a keen ability to communicate complex concepts to wide and diverse audiences
Excellent written and verbal communication skills, with the ability to create and deliver presentations to Senior Leadership
Proficient with Microsoft Excel and PowerPoint, and ability to learn and leverage tools such as Power BI
Comfortable working in ambiguous and quickly changing environments
Ability to handle multiple competing priorities; strong organization skills
We offer a number of accommodations to complete our interview process including screen readers, sign language interpreters, accessible and single location for in-person interviews, closed captioning, and other reasonable modifications as needed. If you discover, as you navigate our application process, that you need assistance or an accommodation due to a disability, please complete the Candidate Accommodation Request Form.
OUR HIRING GAME PLAN
01 Apply
Our teams are made up of diverse skillsets, knowledge bases, inputs, ideas and backgrounds. We want you to find your fit – review job descriptions, departments and teams to discover the role for you.
02 Meet a Recruiter or Take an Assessment
If selected for a corporate role, a recruiter will reach out to start your interview process and be your main contact throughout the process. For retail roles, you’ll complete an interactive assessment that includes a chat and quizzes and takes about 10-20 minutes to complete. No matter the role, we want to learn about you – the whole you – so don’t shy away from how you approach world-class service and what makes you unique.
03 Interview
Go into this stage confident by doing your research, understanding what we are looking for and being prepared for questions that are set up to learn more about you, and your background.
