職務内容 Job Description | Job Overview: ・トレジャリー部は、弊社グループ全体の経営目標達成に向け、海外拠点を含むグループ全体の資金管理や資金流動性規制への対応等、統合的な流動性管理を担っています。業務やプロジェクトの多くは国内で完結せず、海外の弊社グループ拠点(米州、欧州、アジア)と連携しながら、各国・地域の規制や市場環境を踏まえてグローバルに遂行しています。 ・その中でデット・マネジメント・デスクは、中長期の資金調達を中心としたグローバルな資金流動性管理を担い、戦略的な資金調達を推進しています。国内外の社債発行、調達戦略の策定、調達構造の分析・改善等を通じて、安定的かつ効率的な資金調達基盤の維持・強化に取り組んでいます。 ・今回募集するポジションでは、これらの業務の実務担当として、国内外の社債発行実務をはじめ、関係部署や海外拠点との調整を含むデット・マネジメント業務に幅広く携わっていただきます。入社後はOJTを通じて業務理解を深めていただける体制が整っており、多様なバックグラウンドを持つメンバーと協働しながら専門性を高められる環境です。 ・また、CFO直下の組織であるため、経営に近い立場から、資金調達を通じて会社全体の運営や戦略に密接に関わることができる点も、このポジションの大きな魅力の一つです。 ・Treasury department is responsible for cash/funding management of whole group entities and comprehensive liquidity management including compliance with regulatory requirements. Our tasks and projects are not only in Japan but also global base with communicating with regional Treasury at overseas entities (US, EU, Asia) ・The Debt Management Desk is responsible for global liquidity management, primarily through medium- to long-term funding and strategic financing initiatives. Through domestic and international bond issuances, the formulation of funding strategies, and the analysis and improvement of funding structures, the team is committed to maintaining and strengthening a stable and efficient funding platform. ・In this role, you will be broadly involved in debt management activities, including domestic and international bond issuance execution as well as coordination with relevant departments and overseas subsidiaries. ・After joining, you will have a structure in place to deepen your understanding of the work through on-the-job training, and you will be able to further develop your expertise in an environment where you work alongside members with diverse backgrounds. ・On-the-Job-Training will be available to support adapting to new environment and tasks. ・Friendly environment to work. More than half of the team members joined Nomura by mid-career recruitment, and team is diverse with various background and nationality. ・In addition, because this organization reports directly to the CFO, one of the major attractions of this role is the opportunity to be closely involved in the firmwide operations and strategy through funding activities. | | | Responsibilities: デット・マネジメント・デスクが担当する主な業務は以下の通りです。 ・資金調達計画の策定・実行 ・中長期資金調達(国内外での社債発行、ローン借入、仕組債発行管理等) ・規制資本調達(劣後債調達) ・資金調達構造の分析・効率化 ・国内外の資金調達子会社の運営・管理(ガバナンス対応を含む) ・新たな調達手段の検討 ・資金調達に関わる社内金利の設定 ・債券投資家向けのIR活動(ロードショー対応、資料作成等) The tasks in Debt Management Desk ・Formulation and execution of funding plans ・Medium- to long-term funding (including domestic and international bond issuances, loan borrowings, and management of structured bond issuances) ・Subordinated debt funding ・Analysis and optimization of funding structures ・Operation and management of domestic and international funding subsidiaries (including governance-related matters) ・Consideration of diversified funding methods ・Setting internal funding rates ・IR activities for bond investors (including roadshow support and preparation of materials) | |