Treasury Manager, Capital Markets Job Summary Equinix is a highly active capital markets issuer due to its substantial investment in growth and its REIT structure. You will be part of our capital markets treasury team involved in planning, managing and supporting capital raising for our retail data center business. You will play a key role in funding Equinix’s global growth. This role involves leading the development of new funding frameworks, managing Equinix’s debt & equity transactions, and managing relationships with banking partners and rating agencies. This is a highly visible position with direct access to senior management and requires close collaboration with various internal teams (including FP&A, Corporate Development & Real Estate, Investor Relations, Accounting, Legal, and Tax) and external partners (banks, external counsels etc.) to ensure the seamless execution of financing transactions and internal projects. Responsibilities Create new financial models in support of the development of new funding frameworks and strategies by analyzing information from multiple sources (financial statements, info from other financial models, earnings reports etc.) Partner with other finance functions and external advisors to evaluate corporate financing alternatives (bonds, term debt, bank debt, equity linked securities, etc.) to optimize Equinix’s capital structure and cost of capital. Partner with our international treasury teams to evaluate and recommend local financing initiatives where local financing and funding is warranted Forecast key capital and credit metrics, (cost of capital, interest income and expense, leverage, liquidity, impact of derivatives etc.) with a strong ability to compare and contrast between alternative plans, in partnership with FP&A, Tax and Corporate Development teams Support quarter-end related activities including preparing data in support of our 10-Q and 10-K filings Prepare ad hoc analysis and offer novel approaches to further Equinix’s financing strategies Supports Treasurer and Treasury Director with M&A and other strategic initiatives Qualifications Bachelor’s degree in Finance, Economics or Accounting preferred. MBA highly preferred. CFA or CPA a plus 5+ years of management consulting, investment banking, private equity, treasury or corporate FP&A experience. For candidates with an MBA degree, we would consider shorter work experience Strong analytical and financial modeling skills including the ability to creating advanced financial models, automate models, and analyze financial statements Experience in executing financing transactions and understanding of international corporate finance Leadership and collaboration skills to work cross-functionally in a large, global organization Initiative, integrity, and reliability in upholding and meeting deadlines Advanced proficiency in Excel, Word, and PowerPoint Superior oral and written communication skills