Republic Services Senior Analyst Corporate Finance in Phoenix, Arizona

About Us

Republic Services is an industry leader in U.S. recycling and non-hazardous solid waste. Through our subsidiaries, Republic’s collection companies, recycling centers, transfer stations, and landfills focus on providing effective solutions to make proper waste disposal effortless for our 14 million customers. We’ll handle it from here, our brand promise, lets customers know they can count on Republic to provide a superior experience while fostering a sustainable Blue Planet for future generations to enjoy a cleaner, safer and healthier world.

Why Work with Us

Our Company cannot thrive without great people devoted to serving customers, the community, and the planet. We hire the best people to make Republic a great place to work. We are focused on attracting talented individuals across professions who are as committed to serving customers and the planet as we are. We strive to create a workplace that's meaningful and rewarding to our 33,000 employees. That's why we are proud to be recognized as Best Large Employer by Forbes, World’s Most Ethical Companies by Ethisphere, and One of the Most Meaningful Companies to Work for in America by Business Insider.

Job Description

Republic Services is an industry leader in U.S. recycling and non-hazardous solid waste disposal, generating $10 billion in annual revenue. Through its 35,0000 employees, the Company leverages technology to provide innovative, convenient and environmentally responsible solutions to its 14 million customers. The Senior Analyst plays a critical role in managing the Company’s $8 billion debt portfolio, mitigating financial risk through the strategic execution of the Company’s hedging program and optimizing the Company’s capital structure.

Knowledge, Skills & Abilities

Preferred Qualifications

Principal Responsibilities

  • Assists with the management of the Company’s $8 billion debt portfolio, which includes modeling alternative refinancing scenarios, analyzing and recommending new financing opportunities, and supporting capital market transactions.

  • Executes the share repurchase program, which includes analyzing historical stock price volatility, recommending repurchase parameters, placing orders, evaluating the bank’s execution and reporting results to management.

  • Assists with mitigating financial risk through the analysis of the Company’s exposure to changing interest rates and fuel costs and execution of the Company’s hedging program. Works closely with accounting to ensure the transactions qualify for hedge accounting.

  • Prepares analysis to evaluate the optimal debt structure and allocation of cash to shareholders via dividends and share repurchases.

  • Understands, evaluates, and models key Credit Rating Agency metrics.

  • Develops a model to project future cash, liquidity, debt and interest expense.

  • Prepares quarterly board presentations and annual Credit Rating Agency presentations.

  • Prepares quarterly Bank Covenant calculations and reports. Works cross-functionally to ensure the Company remains in compliance with all debt covenants and representations and warranties.

  • Performs ad hoc analysis as needed.

  • Prepares various monthly and quarterly reports for external reporting and senior management.

  • Serves as backup for various Treasury Operations functions.

  • Performs other job-related duties as assigned or apparent.

The statements used herein are intended to describe the general nature and level of the work being performed by an employee in this position, and are not intended to be construed as an exhaustive list of responsibilities, duties and skills required by an incumbent so classified. Furthermore, they do not establish a contract for employment and are subject to change at the discretion of the Company.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics or related field of study. (Required.)

  • Minimum of 2 years of complex financial modeling experience. (Required.)

  • Minimum of 3 years of experience analyzing data, correlating multiple factors, drawing appropriate conclusions and anticipating issues. (Required.)

  • Advanced level of proficiency with Excel, Word and PowerPoint. (Required.)

  • Minimum of 5 years of combined experience in corporate finance, investment banking, capital markets, private equity, corporate finance, and/or financial planning and analysis.

  • CFA, CPA, CTP.

  • Master’s degree in Finance, Economics, Accounting or related field of study.

  • Proven knowledge of financial analysis, forecasting, financial modeling, accounting, strategic planning, and interpretation of financial data.

Rewarding Compensation and Benefits

Eligible employees can elect to participate in:

  • Comprehensive medical benefits coverage, dental plans and vision coverage.

  • Health care and dependent care spending accounts.

  • Short- and long-term disability.

  • Life insurance and accidental death & dismemberment insurance.

  • Employee and Family Assistance Program (EAP).

  • Employee discount programs.

  • 401(k) plan with a generous company match.

  • Employee Stock Purchase Plan (ESPP).

Republic Services is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, sexual orientation, gender identity or expression, national origin, age, disability, protected veteran status, genetic information, or any other characteristic protected by applicable law.