HomeCoda Search│Staffing

Coda Search│Staffing

18
Open Jobs:

Open Jobs:

Our client is a Global Media Entertainment Firm in LA seeking someone for a Senior Manager/Director of Finance Treasury professional reporting to head of team.

This professional will be help drive Finance Treasury Operations throughout the whole business working with all business lines – Cash/Working Capital Forecasting, Long-Range Projections, and Financing Planning. This professional will be a business partner to all of the divisions throughout the company and will work closely with CFO, CAO, and Executive Management Team along with Legal and Tax.

Responsibilities:

  • Lead and Drive Treasury Finance including Budgeting and forecasting for Working Capital, Balance Sheet, short and long-term strategic planning and analysis
  • Create and manage diverse revenue streams financial forecast models for all divisions and analyzing key performance indicators to accelerate scale
  • Determine in-flows and out-flows
  • Long range cash forecasting, using driver based assumptions to project firm working capital (specifically balance sheet changes) over a 3, 6, 9, and 12 month period.
  • Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns
  • Support cross-functional teams in developing relevant financial metrics to tightly track progress and performance across the company’s operations
  • Perform recommendation-oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management
  • Create meaningful and visual ways of presenting key business insights to management

Requirements/Qualifications:

  • Bachelor’s degree in Finance, Accounting or Economics needed; MBA, Master’s, or CPA is a plus
  • 8-12 years’ experience in Treasury Finance – Working Capital & Balance Sheet FP&A, Budgeting, Cash Forecasting
  • High proficiency in Excel – building financial and decision support models
  • Audit/Accounting from Past Experience
  • Analytical, strategic thinking and detail-oriented
  • Ability to Travel
  • Understanding of Revenue Recognition is a plus

Coda Search│Staffing

Our client is a Global Media Entertainment Firm in LA seeking someone for a Senior Manager of Finance Treasury professional reporting to head of team.

This professional will be help drive Finance Treasury Operations throughout the whole business working with all business lines – Cash/Working Capital Forecasting, Long-Range Projections, and Financing Planning. This professional will be a business partner to all of the divisions throughout the company and will work closely with CFO, CAO, and Executive Management Team along with Legal and Tax.

Responsibilities:

  • Lead and Drive Treasury Finance including Budgeting and forecasting for Working Capital, Balance Sheet, short and long-term strategic planning and analysis
  • Create and manage diverse revenue streams financial forecast models for all divisions and analyzing key performance indicators to accelerate scale
  • Determine in-flows and out-flows
  • Long range cash forecasting, using driver based assumptions to project firm working capital (specifically balance sheet changes) over a 3, 6, 9, and 12 month period.
  • Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns
  • Support cross-functional teams in developing relevant financial metrics to tightly track progress and performance across the company’s operations
  • Perform recommendation-oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management
  • Create meaningful and visual ways of presenting key business insights to management

Requirements/Qualifications:

  • Bachelor’s degree in Finance, Accounting or Economics needed; MBA, Master’s, or CPA is a plus
  • 8-12 years’ experience in Treasury Finance – Working Capital & Balance Sheet FP&A, Budgeting, Cash Forecasting
  • High proficiency in Excel – building financial and decision support models
  • Audit/Accounting from Past Experience
  • Analytical, strategic thinking and detail-oriented
  • Ability to Travel
  • Understanding of Revenue Recognition is a plus

Coda Search│Staffing

Our client is a Global Media Entertainment Firm in LA seeking someone for a Senior Manager of Finance Treasury professional reporting to head of team.

This professional will be help drive Finance Treasury Operations throughout the whole business working with all business lines – Cash/Working Capital Forecasting, Long-Range Projections, and Financing Planning. This professional will be a business partner to all of the divisions throughout the company and will work closely with CFO, CAO, and Executive Management Team along with Legal and Tax.

Responsibilities:

  • Lead and Drive Treasury Finance including Budgeting and forecasting for Working Capital, Balance Sheet, short and long-term strategic planning and analysis
  • Create and manage diverse revenue streams financial forecast models for all divisions and analyzing key performance indicators to accelerate scale
  • Determine in-flows and out-flows
  • Long range cash forecasting, using driver based assumptions to project firm working capital (specifically balance sheet changes) over a 3, 6, 9, and 12 month period.
  • Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns
  • Support cross-functional teams in developing relevant financial metrics to tightly track progress and performance across the company’s operations
  • Perform recommendation-oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management
  • Create meaningful and visual ways of presenting key business insights to management

Requirements/Qualifications:

  • Bachelor’s degree in Finance, Accounting or Economics needed; MBA, Master’s, or CPA is a plus
  • 8-12 years’ experience in Treasury Finance – Working Capital & Balance Sheet FP&A, Budgeting, Cash Forecasting
  • High proficiency in Excel – building financial and decision support models
  • Audit/Accounting from Past Experience
  • Analytical, strategic thinking and detail-oriented
  • Ability to Travel
  • Understanding of Revenue Recognition is a plus

Coda Search│Staffing

Member since:

Latest from the blog:

How Netflix Is Using AI to Revolutionize Film and TV Production

Key Takeaways Netflix’s co-CEO Ted Sarandos says AI is a...

Sydney Sweeney Makes Bold Move into Lingerie Fashion

Takeaways Sydney Sweeney is launching her own lingerie brand, marking...

Rihanna’s Sons RZA & Riot Are Already Passionate About Music

Takeaways Rihanna reveals her sons RZA and Riot already love...

Rachel Brosnahan Hires Witch to Break Her Travel Curse Before Superman Tour

Takeaways Rachel Brosnahan experienced a decade-long string of travel mishaps. Before...