A leading entertainment entity is seeking a treasury professional to play a key role in managing the cash, investment, and debt operations of the firm. The candidate will be expected to prepare global and debt forecasts with variance analysis, prepare ongoing cash flow analysis along with expected performance trends. You will also be expected to assist in the implementation of and development of global cash management strategies and corporate treasury initiatives and to manage the global letter of credit program and work with global banks in support of global initiatives.
Requirements:
The job requires 5+ years of progressive treasury experience, preferably from a large corporate entity and a working knowledge and understanding of f/x exposure with strong finance/accounting skills. This is a unique opportunity with a dynamic company in a dynamic setting. Excellent benefits and terrific corporate culture.