Santa MonicaFull TimeFinance
Remotely
excelcapital marketshedginganaplanfxcash flow forecastingtreasury management systemdebt financing
Job Description
📋 Description
- Lead global treasury operations across Capital Markets, Foreign Exchange, Investments, Operations
- Forecast cash flow with complex Excel models and cross-functional collaboration.
- Automate free cash flow forecasting using Anaplan and cloud platforms for real-time reporting.
- Develop models for FX exposure, working capital, interest rate risk, and credit risk (IBR, WACC
- Manage cash pooling, banking services, and credit facilities; build relationships with financial
- Lead capital structure planning and debt financing strategies; oversee debt issuance and share
🎯 Requirements
- Master’s degree or foreign equivalent in Finance, Accounting, Economic Sciences, Business
- 1 year of experience as an Analyst or related occupation.
- Experience in multi-scenario financial modeling, forecasting, budgeting, and variance analysis
- Assessing creditworthiness and risk; analyze statements and market trends; prepare risk assessment
- Manage cash flows, optimize investment portfolios, and develop cash management strategies to
- Assess currency rate risks; develop and implement hedging strategies in line with compliance.
🎁 Benefits
- Health insurance, equity awards, life insurance, disability benefits, parental leave, wellness
- Global and local benefits vary by location; consult recruiter for details.
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