Logo
Cinemark

Treasury Manager

Cinemark, Plano, Texas, us, 75086


Join Our TeamAs part of our Cinemark Universe, you'll discover fun opportunities with real growth potential and plenty of perks. With 500+ theatres and nearly 6,000 screens; we're truly a global presence of 20,000 movie lovers working together to make unforgettable experiences.Role Summary:The Treasury Manager oversees the day-to-day functions of the Cash Management group and provides overall support to management.

The Treasury Manager is responsible for performing in-depth analysis of financial information, preparing analysis of cash management operations and processes, and preparing reports to assist management in making strategic and operational decisions.

Responsibilities:Manage the daily functions of the Treasury departmentDevelop, monitor and maintain internal controls for the departmentCash receipt and disbursement process evaluations and potential enhancementsOversee daily investments of excess cash while considering expanding to additional investment vehiclesResponsible for cash flow forecasting and reporting to various departmentsKey player in the forecasting of Treasury related items and partnering with FP&A to ensure proper alignment for budgetMentor and grow team as it is related to Treasury activitiesDevelop working relationship with international teams and assist with Treasury related items and banking relationshipsAdministration of online banking platforms and ensure compliance is metCreate and manage annual review of processes, policies and proceduresAd hoc Treasury projectsWork closely with partnered financial institutions and Treasury providers for enhancements of services, relationship management and new ventures where applicableQualifications:The Treasury Manager must be an individual with high-energy and excellent communication skills both verbal and written. The Treasury Manager needs to be a self-starter whom has the ability to adapt to and maintain outstanding customer service in a changing environment. Attention to detail, with strong analytical and strategic skills. Highly collaborative individual with ability to manage relationships across various segments in the business.BA/BS in Finance or Accounting5-8 years of experience with an understanding of Treasury Services, Cash Management and Banking ServicesExceptional business acumen with a high degree of integrity and ethicsExceptional leadership and development skillsAbility to communicate effectively with all levels of managementAbility to prioritize projects and meet deadlinesProven relationship management skills with the ability to establish credibility with both internal and external stakeholders

#J-18808-Ljbffr