Financial Markets & Investments Analyst

The Walt Disney CompanyBurbank, CA
Onsite

About The Position

The Treasury organization at The Walt Disney Company manages the Company’s global liquidity, mitigates financial risk, and ensures Disney has the flexibility to invest, innovate, and grow. Treasury oversees key relationships with financial institutions and ratings agencies, leads global cash management activity, manages foreign‑exchange and interest rate risk, drives financing and capital‑raising initiatives, shapes enterprise consumer‑payment capabilities, and stewards the investment of retirement assets that support employees across the company. As a Financial Markets & Investments Analyst, you will build and maintain financial models, contribute to enterprise-wise cash flow forecasting, and assist in drafting strategic presentations that guide financial decision‑making. You will provide support for capital‑raising initiatives that keep Disney positioned for long‑term success. You will have opportunities to work across Treasury’s Financial Markets teams—from foreign exchange risk management to the stewardship of $17 billion in pension assets—gaining broad exposure and contributing to work that has real impact and supports growth across the Company.

Requirements

  • Strong academic track record with demonstrated financial acumen and technical skills
  • Strong record of academic achievement
  • Analytical and data-driven critical thinking skills
  • Ability to collaborate with a cross-functional group
  • Self-starter with ability to work independently, take on significant responsibility, and succeed in a dynamic environment
  • Interest in quantitative analyses / financial modeling and financial markets
  • Demonstrated interest in monitoring developments in the global financial markets and the impact on the Company

Responsibilities

  • Build and maintain financial models — support modeling and analysis on Company‑wide cash flow and shares forecasting to support liquidity planning and capital structure decisions.
  • Support numerous data-driven efforts and requests relevant to the company’s standing in financial markets (such as pulling weekly market pricing for different financial instruments)
  • Support shareholder return programs — conduct analyses that inform share repurchase and dividend strategies.
  • Perform strategic capital planning analysis — Contribute to long term planning around liquidity, leverage, and capital structure optimization.
  • Participate in capital raising activities – support bond issuances by the Company in the debt capital markets
  • Partner across the enterprise — Collaborate closely with FP&A, Legal, Controllership, Investor Relations, Corporate Development, and Corporate Strategy.
  • Leverage technology tools (including AI) to streamline and improve processes and output, particularly those involving multiple data inputs

Benefits

  • A bonus and/or long-term incentive units may be provided as part of the compensation package, in addition to the full range of medical, financial, and/or other benefits, dependent on the level and position offered.
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service