Hybrid Senior Manager, Treasury presso Create Music Group
Create Music Group · Los Angeles, Stati Uniti d'America · Hybrid
- Senior
- Ufficio in Los Angeles
Job Summary
We are seeking a strategic and hands-on Senior Manager, Treasury to own and optimize our global cash management and treasury operations. This role will be instrumental in managing day-to-day liquidity, improving treasury processes, and supporting capital structure planning across a multi-entity, multi-currency environment. You will partner closely with FP&A, Accounting, Legal, and key external banking partners.
Responsibilities
- Partner across the Finance and operational teams to maintain and enhance Treasury operations that support the long-term strategic needs of Create Music Group, while managing Treasury policies, procedures, and internal controls.
- Oversee daily cash positioning and manage intercompany funding and settlement processes, ensuring accuracy, visibility, and timely execution of transactions.
- Manage our global network of banking relationships - identifying new partners as needed, leading onboarding and integration efforts, and leveraging banking capabilities to meet evolving business needs.
- Collaborate with Finance and FP&A to optimize cash forecasting and implement dynamic cash management programs aligned to the business’s liquidity and investment requirements.
- Forecast and quantify currency exposures across global entities and implement appropriate strategies to manage foreign exchange risk.
- Partner with the broader Finance team on capital structure initiatives, including debt issuance/repayment, equity administration, and the support of investor or ratings agency engagements.
- Ensuring adherence to all relevant domestic and foreign treasury regulations and reporting requirements.
- Monthly and quarterly debt calculations and covenant compliance
- Implement and optimize a Treasury Management System (TMS) by identifying opportunities to automate and enhance functionality, integrate with ERP and banking platforms, and ensure data integrity across Treasury workflows.
- Build strong relationships across the Finance organization to support cross-functional projects and respond to ad hoc strategic or operational requests.
- Drive continuous improvement across Treasury processes by identifying inefficiencies, enhancing controls, and scaling operations in line with company growth and global expansion.
- Ensure compliance with domestic and international treasury regulations, including OFAC, AML, and local banking laws. Partner with Tax and Legal teams on efficient global cash repatriation strategies.
Qualifications
- Bachelor’s degree in Finance, Accounting, or a related field; CTP or MBA preferred
- 7+ years of progressive treasury or corporate finance experience
- Strong working knowledge of global banking platforms, NetSuite (or similar ERP), and Excel
- Strong knowledge of global banking platforms, intercompany cash management, and FX exposure management
- Experience with Treasury Management Systems (e.g., Kyriba, Reval) and ERP systems such as NetSuite
- Strong understanding of global treasury regulations and cross-border compliance
- Demonstrated ability to build banking and capital market relationships across international jurisdictions
- Proven success leading process transformation and scaling treasury operations
- Exceptional analytical, communication, and stakeholder management skills
- Experience in high-growth or entertainment/media/tech companies is a plus
- Proven ability to thrive in a fast-paced, evolving environment
Pay Scale
$130,000 - $170,000 per year
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