Carol Frazier
Director of Treasury & Risk Management
- Role
- Director of Treasury & Risk Management at Aviat Networks
- Location
- Atlanta, GA, US
- LinkedIn followers
- 500 followers
About Carol Frazier
Global Treasury Certified Professional with expertise in Treasury, Capital Markets, and…
Experience
Director of Treasury & Risk Management
May 2022 — Present
Responsible for optimizing global liquidity and mitigate financial risks to support the company’s growth and ensure long-term financial stability reporting to Chief Financial Officer.• Liquidity Management: Ensuring the company has sufficient cash flow to meet its obligations. This includes cash forecasting and managing working capital for 75 operating entities and over 150 bank accounts. • Debt Management: Managing the company\'s $150 million debt, including issuance, refinancing, and repayment strategies.• Currency and Foreign Exchange: Managing exposure to foreign currency risk by implementing hedging strategies.• Banking Relationships: Building and maintaining relationships with global banks and financial institutions.• Financial Risk: Identifying and managing risks related to interest rates, foreign exchange, and credit.• Operational Risk: Ensuring that internal processes are efficient and secure to avoid financial losses due to errors or fraud.• Insurance: Managing the company\'s global insurance policies to protect assets and mitigate potential risks.• Compliance: Ensuring that the company adheres to global regulatory requirements related to financial reporting, risk management, and capital structures.• Strategic Risk: Collaborating with senior executives to assess risks that could affect the company’s long-term strategy.
Education
Lander University
BS, Business Management
1984 — 1988
Skills
- Financial Risk
- Account Reconciliation
- Payments
- Treasury Management
- Cash Flow Forecasting
- Investments
- Cash Management
- International Treasury Management
- Internal Controls
- Accounting
- Treasury
- Business Process Improvement
- Sarbanes-Oxley Act
- Cash Flow
- Credit
- Financial Analysis
- Finance
- Banking
- Risk Management
- Portfolio Management
- Forecasting
- Management
- Due Diligence
- Mergers & Acquisitions
- Fbar
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