CJ America HQ | Finance Analyst

Finance/Accounting Los Angeles, California


Who We Are

Summary

Assist the manager and team head with execution of the company's analytics, treasury and credit functions, including oversight of daily liquidity management, cash flows forecasting/planning, banking & treasury operations, and the financial analysis of subsidiaries, affiliates and various industries. The Analyst assists in meeting overall finance department's policies, reporting and regulatory requirements.

Responsibilities / Essential Duties:

  • Provide for all cash management activities, including promoting the effective utilization of cash resources through the control of working capital, investment of surplus cash and efficient use of banking facilities
  • Develop and drive tools and analysis to forecast the company's cash flows
  • Identify risks with respect to treasury operations and develops and executes strategies to mitigate those risks
  • Support strategic finance initiatives as needed including bank presentations, negotiation, and financing closings
  • Assist the Manager in projects and analysis including external and internal presentations
  • Assist the Manager with the consolidated company cash flow planning and maintenance. This includes capital planning and utilization of debt
  • Develop strategy and provide oversight of all corporate funding and liquidity activities of the company
  • Review treasury operations on a daily basis to ensure that corporate funds are flowing in a manner consistent with maximizing corporate value and minimizing costs
  • Assist in assessing long-range capital needs in support of the company's strategic goals
  • Assist with developing new commercial bank/other creditor relationships to ensure the company's long-term access to capital markets
  • Provide analysis and recommendations designed to optimize corporate cost of capital
  • Research and analyze the financials of affiliates and companies in various sectors

Basic Qualifications:

  • Bachelor’s degree with relevant coursework (accounting, finance or related business)
  • Advanced computer skills including MS Office, ERP software (SAP)
  • Ability to consistently and accurately manipulate of data
  • Minimum of 2~3 year experience in treasury or accounting
  • Bilingual required (Korean & English)

Preferred Qualifications:

  • CPA, CFA, CTP
  • 2-3 years of treasury or bank experience

Job Type: Full-time

Salary: $58,000.00 to $65,000.00 /year