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Creative Artists Agency (CAA)

Sr. Director, Global Treasury

Creative Artists Agency (CAA), Los Angeles, California, United States, 90079


Job DescriptionWho We Are

Creative Artists Agency (CAA) is the leading entertainment and sports agency, with global expertise in filmed and live entertainment, digital media, publishing, sponsorship sales and endorsements, media finance, consumer investing, fashion, trademark licensing, and philanthropy. Distinguished by its culture of collaboration and exceptional client service, CAA’s diverse workforce identifies, innovates, and amplifies opportunities for the people and organizations that shape culture and inspire the world. The trailblazer of the agency business, CAA was the first to build a sports business, create an investment bank, launch a venture fund, found technology start-up companies, establish a philanthropic arm, build a business in China, and form a brand marketing services division, among other innovations. Named Most Valuable Sports Agency by Forbes for eight consecutive years, CAA represents more than 2,000 of the world’s top athletes in football, baseball, basketball, hockey, soccer, in addition to coaches, on-air broadcasters, and sports personalities and works in the areas of broadcast rights, corporate marketing initiatives, social impact, and sports properties for sales and sponsorship opportunities. Founded in 1975, CAA is headquartered in Los Angeles, and has offices in New York, Nashville, Memphis, Chicago, Miami, London, Munich, Geneva, Stockholm, Shanghai, and Beijing, among other locations globally.

The Role

The Sr. Director, Treasury is an integral member of CAA’s Treasury and Risk Management Team and will oversee corporate finance activities like FCF forecasting, net interest expense forecasting, treasury budgeting and WACC modeling. This position will lead debt capital markets including compliance with credit agreement, strategy and execution for addressing debt maturities, financing for acquisitions and proactive management of company’s capital structure as well as creating and maintaining the company’s foreign exchange program. Reporting to the Treasurer, this position requires strong analytical skills, strong attention to detail and critical thinking. The Sr. Director of Treasury will collaborate with internal stakeholders (tax, legal, accounting, M&A) and external partners (including relationship banks, rating agencies, treasury service providers) across a variety of corporate treasury activities. The Sr. Director of Treasury will also support and provide back up for treasury operations area. This position will also provide support for capital allocation, board materials, lender materials, lender relations, WACC analysis and ad hoc analysis related to capital structure.

Responsibilities

Deep knowledge of and experience with credit agreements and debt capital market deals

Ownership of debt covenant compliance package

Ability to design and deploy systems and processes to streamline efficiencies

Manage a team of 2: Treasury Manager and a Senior Treasury Analyst

Strategic management of upcoming debt maturities

Oversee debt administration activities including notices, interest payments, interest expense accrual reports, loan holder analysis and record keeping

Prepare board materials and related analysis with high level of attention to detail and strategic analysis

Assist Treasurer with capital structure strategy, planning and execution across all global subsidiaries

Manage lender relations

Create and maintain net interest expense and excess cash flow forecast and actuals

Prepare monthly interest accruals and debt-related fees

Collaborate with Financial Planning and Analysis team on treasury related assumptions for budget and LRP

Produce internal reports for debt activity, and schedules for annual compliance

Perform ad hoc analysis as needed for various treasury projects and initiatives

Manage company’s foreign exchange risk management program and policies

Assist with treasury operations as needed

Develop and maintain policies and procedures

Develop and maintain working capital and free cash flow forecast

Partner with Director of Treasury Operations on business continuity management

Qualifications

12+ or more years of experience in corporate treasury; with at least 3 years leadership

Extensive debt capital markets experience across multiple deals on corporate / bank side is plus

BS/BA degree in finance or related area

Experience with leading capital market transactions

Solid financial modeling skills

Microsoft PowerPoint skills to develop strong treasury decks

Self-starter

Strong attention to detail

Ability to manage multiple priorities

Excellent written and verbal communication skills.

Critical thinking

Preferred Qualifications:

Mix of large global enterprise and start up experience

MS Finance or MBA

CFA

CompensationThe annual base salary for this position is in the range of $188,000 - $258,000. This position also is eligible for benefits and discretionary bonus. Ultimately, the salary may vary based upon, but not limited to, relevant experience, time in role, business sector, and geographic location, among other criteria. Please talk with a CAA Recruiter to learn more.

LocationThis role will be based in our Los Angeles, CA office, Monday – Friday; hybrid.

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