Job Description:Senior Manager, Capital Markets and FX (New Health Care Company)3M is establishing twoindustry-leading companies, creating value through the spin-off of its Health Care business, while 3M will continue to be a global material science leader, focusing our innovation to win in favorable global megatrends and attractive end markets. This new Health Care Company will be a leading global diversified health technology company with:Proven category leadershipExposure to attractive end-marketsInnovation mindset driving improved patient outcomesCollaborative customer relationshipsDeep global regulatory experienceOperational excellence and strong cash flowStrong sales growth and profitability with significant recurring salesWe expect the creation of the two companies will be completed by the end of 2023. For now, we will continue to operate as one global company. This role is positioned to drive the success of the "New Health Care Company.This position provides an opportunity to transition from other private, public, government or military experience to a 3M career.The Impact Youll Make in this RoleAs a Senior Manager, Capital Markets and FX, you will help manage the company's capital raising initiatives, execute financing transactions, mitigate financial risks (i.e. FX and interest rates) within the company's financial operations, and manage relationships with credit investors and financial institutions. You will work closely with the Assistant Treasurer, Treasurer, CFO and other finance executives to develop and implement capital structure plans as well as necessary financial risk mitigation strategies that align with the company's financial goals and risk appetite.The successful candidate will manage global investment vehicles, lead funding / debt issuance activity, execute on the corporate share repurchase program, manage financial risks (FX and rates) and support liquidity needs for 3M globally. You will collaborate with the relevant teams in Treasury, Finance, Accounting, Tax, and Legal to actively manage FX exposures, global investments, related funding and liquidity functions.At 3M, you have the opportunity to tap into your curiosity and collaborate with some of the most innovative and diverse people around the world. Here, you will make an impact through:Proactively developing strategic treasury recommendations, analysis of capital markets and liquidity management across the global enterprisePlanning and executing capital raising activities, including debt issuances, equity offerings, and other financing arrangements, as applicableEvaluate various financing options and structures to optimize funding costs and manage capital requirementsCollaborate with investment banks, underwriters, and advisors to coordinate financing transactionsDeveloping sophisticated financial models to evaluate capital structure scenarios, cost of capital, and financial impact of various financing strategiesLeveraging modeling to assess risk and return profiles of debt and equity transactions, aiding data-driven decision-makingIdentifying, analyzing, and assessing financial risks/exposures (i.e. FX and rates) within the companys global financial operationsDevelop risk mitigation strategies and execute hedging mechanisms including derivatives (e.g. forwards, options, swaps, etc.) to safeguard the company's financial position while effectively managing counterparty risk and monitor and adjust these strategies considering market conditions and adherence to corporate policy and objectivesEstablish and maintain financial risk management policies, procedures, and guidelines; ensure compliance with applicable regulations, reporting requirements, and disclosure standardsStay abreast of global economic trends, geopolitical events, and regulatory changes that could impact currency and interest rate markets. Provide insights and recommendations to senior management on potential risks and opportunitiesOwnership of global investment portfolio to prese ve capital, manage counterparty risk and maximize yieldDevelop strategies and lead execution of 3Ms short- and long-term debt programs, including 3Ms commercial paper program and medium-term note programDevelop and execute strategies related to dividend policy, share repurchases, liquidity management, credit facilities, liability management, and debt maturitiesManagement and execution of corporate share repurchase program, including communication to executive managementEnsure 3Ms trading execution is compliant with standards of good governance, including SOX controls and 3Ms internal policies; liaise with 3Ms external audit providers both proactively and upon request to facilitate assurance reviewsCommunicating effectively with executive management regarding investment and debt portfolio performanceLeading strategic legal entity reviews for Treasury to ensure efficient use of capital across the enterpriseAct as a liaison between the company and external stakeholders in capital marketsCollaborate with the Treasury Technology team to implement and optimize capital markets-related systems and toolsYour Skills and ExpertiseTo set you up for success in this role from day one, 3M requires (at a minimum) the following qualifications:Bachelors degree in Finance, Economics, or a related field or higher (completed and verified prior to start) from an accredited institutionTen (10) years of experience working in corporate environment and/or financial services, including significant exposure to capital markets in a private, public, government or military environmentAdditional qualifications that could help you succeed even further in this role include:In-depth...Equal Opportunity Employer - minorities/females/veterans/individuals with disabilities/sexual orientation/gender identity