Senior Manager, Treasury

Create Music GroupLos Angeles, CA
23h$150,000 - $170,000

About The Position

We are seeking a strategic and hands-on Senior Manager, Treasury to own and evolve our global cash management and treasury operations in a dynamic, multi-entity, multi-currency record label environment. This role is critical to translating forecasted financial performance into actionable cash insights, ensuring liquidity, covenant compliance, and strong banking partnerships as the company scales. This role reports into the head of FP&A and you will partner closely with FP&A, Accounting, Legal, and senior Finance leadership, and will be the primary owner of our cash forecast and external banking relationships. The ideal candidate is both analytically strong and operationally disciplined, with the ability to connect projected financials, debt structures, and working capital dynamics to real-time cash decision-making.

Requirements

  • Bachelor’s degree in Finance, Accounting, or a related field; CTP or MBA preferred
  • 7+ years of progressive treasury or corporate finance experience
  • Strong experience translating financial forecasts into cash flow and liquidity insights
  • Proven success leading process transformation and scaling treasury operations
  • Demonstrated ownership of global banking relationships and multi-entity cash operations
  • Strong knowledge of global banking platforms, intercompany cash management, and FX exposure management
  • Solid understanding of debt structures, covenant compliance, and lender reporting
  • Strong understanding of global treasury regulations and cross-border compliance
  • Experience managing FX exposure in a multi-currency environment
  • Hands-on experience with Treasury Management Systems (e.g., Kyriba, Reval) and ERP systems such as NetSuite
  • Strong Excel and financial modeling skills; comfort working with complex data sets
  • Proven ability to build scalable processes and improve controls in a high-growth environment
  • Exceptional analytical, communication, and stakeholder management skills
  • Ability to thrive in a fast-paced, evolving organization with a hands-on mindset

Nice To Haves

  • Experience in high-growth, entertainment, media, or technology companies is a plus

Responsibilities

  • Cash Forecasting & Liquidity Management
  • Partner with FP&A and Accounting to translate projected financials (P&L, balance sheet, working capital, investments, advances, and debt service) into short-, medium-, and long-term cash forecasts and present weekly forecast
  • Own daily, weekly, and monthly cash positioning across all entities and currencies, ensuring accuracy, visibility, and timely execution
  • Design and maintain rolling cash flow forecasts that support operating decisions, capital allocation, and downside/upside scenario planning
  • Banking & Treasury Operations
  • Own and operate all global banking relationships, serving as the primary point of contact for banks across operating, investment, credit, and FX activities
  • Operationalize banking workflows, including payments, collections, intercompany funding, sweeps, and liquidity structures
  • Evaluate, onboard, and integrate new banking partners and products as business needs evolve
  • Oversee account structures, signatory management, KYC processes, fees, and banking controls across jurisdictions
  • Debt, Covenants & Capital Structure
  • Partner with Finance, Accounting, and Legal to monitor and clearly communicate the company’s cash position relative to debt covenants and liquidity requirements
  • Own monthly and quarterly covenant calculations, compliance reporting, and lender deliverables
  • Support capital structure initiatives, including debt issuance, refinancing, repayments, and related analysis
  • Act as a key liaison with lenders, trustees, and advisors, ensuring transparency, accuracy, and credibility in all treasury-related communications
  • Foreign Exchange & Multi-Currency Management
  • Forecast, quantify, and explain FX exposures across global entities and revenue streams
  • Implement and manage FX policies and strategies to mitigate risk while supporting operational flexibility
  • Partner with Accounting and FP&A to ensure alignment between FX impacts on cash, earnings, and balance sheet
  • Music, Royalty & Advance-Driven Cash Dynamics
  • Own cash visibility related to artist advances, recoupment schedules, royalty payments, and participation statements, ensuring liquidity planning reflects timing mismatches between payouts and collections
  • Partner with FP&A, Accounting, and Royalties teams to model and forecast advance-funded investments, milestone payments, and long-tail royalty obligations into rolling cash forecasts
  • Assess the cash impact of new artist deals, catalog acquisitions, and distribution arrangements, including upfront advances, minimum guarantees, and ongoing participation structures
  • Systems, Controls & Process Improvement
  • Implement, optimize, and scale a Treasury Management System (TMS), ensuring integration with ERP (e.g., NetSuite) and banking platforms
  • Drive automation, data integrity, and standardized treasury workflows across entities
  • Establish and maintain treasury policies, procedures, and internal controls aligned with best practices
  • Continuously identify opportunities to improve efficiency, reduce risk, and scale treasury operations in line with growth
  • Compliance & Cross-Functional Collaboration
  • Ensure compliance with all relevant domestic and international treasury regulations, including OFAC, AML, and local banking requirements
  • Partner with Legal and Tax on cross-border cash movements, intercompany funding, and efficient global cash repatriation strategies
  • Build strong relationships across Finance and the broader organization to support cross-functional initiatives and ad hoc strategic analyses
  • Other duties as assigned
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