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Careers with a SPARK

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Founded in 1915, we started with a single recycling location and have grown into a global enterprise, and one of the largest metal recyclers and steel manufacturers in the United States. Our vertical integration model was the first of its kind and revolutionized the way the steel industry operates today.

We are also a Fortune 1000, global company that is committed to delivering industry-leading customer service, providing a safe and healthy environment where our employees can succeed, creating value for our investors and improving our communities. 

We are sensitive to the impact our industry has on the environment, which is why we are committed to a process that minimizes our carbon footprint and preserves our natural resources for future generations. Our recycling facilities collect metals from the community and convert them into steel that supports our infrastructure. 

Analyst of Global Treasury (4811)

Location: Irving, TX (0001)  
Relocation Assistance:
Position Overview

Commercial Metals Company is currently seeking an Analyst of Global Treasury.  Reporting to the Manager of Capital Markets & Risk, the Analyst of Global Treasury will be integrally involved in the continued development and maintenance of a world class treasury function.

Essential Functions and Responsibilities

• Administer equipment leasing platform, including Interim Funding Authorization schedule, lease vs. buy analysis, and ad hoc analyses
• Manage and administer hedging platform and reporting, which primarily include FX, but also some commodity and interest rate exposures
• Assist in the oversight of U.S. accounts receivable securitization program including due diligence reviews
• Oversee debt and financial compliance reporting (e.g. FATCA, KYC, AML, Dodd Frank, FBAR)
• Perform regular financial and economic analyses (e.g. ROIC, capital structure optimization, WACC)
• Assist in developing and executing capital markets and liquidity strategies
• Prepare presentation materials for the board of directors and senior executives
• Manage administration of New Market Tax Credit program
• Oversee the preliminary review, negotiation, and placement of bilateral bank lines
• Work closely with operations on various projects
• Evaluate and develop trade and structured finance programs
• Interface with banks and other external parties
• Act as back-up to cash management/operations team
• Support Manager of Capital Markets & Risk and Assistant Treasurer on various other initiatives and ad hoc projects

Experience and Skill Requirements

• The ideal candidate will have 2+ years of professional experience in treasury, accounting, banking, or another related field. Consideration will be given to fewer years of experience if highly relevant or candidate has exceptional aptitude

Education Requirements

• 4-year undergraduate degree in finance, economics, or other related field required
• CTP a plus, but not required


CMC is committed to providing equal employment opportunities (EEO) to all employees and applicants for employment without regard to race, color, religion, sex, age, physical or mental disability, national origin, citizenship, military or veteran status, sexual orientation, gender identity and/or expression, genetic information, or other status protected by federal, state or local law.