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HomeSenior Manager Finance/Treasury in Global Multi-Media Sports Entertainment

Senior Manager Finance/Treasury in Global Multi-Media Sports Entertainment

$$$

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

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Expiration date:
02-02-2024

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