Financial Analyst, Treasury
Company
The Wonderful Company
Location
Los Angeles, CA
Type
Full Time
Job Description
Company Description
The Wonderful Company is committed to offering high-quality, healthy, and iconic brands such as Wonderful Pistachios, Wonderful Halos, FIJI Water, and POM Wonderful. We’re looking to make the world a healthier place through an uncompromising commitment to the well-being of our employees and their families. We foster a collaborative workforce that encourages an entrepreneurial spirit and openness to change.
The Wonderful Company is seeking a Financial Analyst, Treasury responsible for providing financial reporting and analysis to senior leadership. This role is uniquely positioned to work across multiple businesses within the Wonderful Company – further increasing the reach and potential of your insights, while learning about our Wonderful Company!
Reporting directly to the Sr. Director of Finance, this is an opportunity for a proactive, detail-oriented professional who is looking for high visibility and the chance to be a key member of various aspects of debt/cash forecasting, annual budgeting, strategic planning, and monthly reporting process. This individual will interact with several business units across the organization and will be relied on as a critical stakeholder within the department by providing regular decision support to senior management. The individual pays great attention to detail and works independently to deliver results under deadlines as well as working effectively cross-functionally in a rapidly changing environment.Â
This position will be based at our West Los Angeles, CA office. We work a hybrid schedule with an in-office requirement Monday-Wednesday and the option to work remotely on Thursday and Friday.
Job Description
- Responsible for consolidating monthly financial reporting package from several business units
- Managing daily credit borrowings/repayments, cash balances, and liquidity
- Support annual budget process
- Support longer-term financial planning and debt/cash flow forecasting
- Support the Finance Manager and Sr. Director with various ad-hoc requests and analysis
- Reduce waste and drive continuous improvement
Qualifications
- Experience: 1-3Â years of experience in FP&A or a related field.
- Technical Skills: Proficiency in Microsoft Office, with advanced skills in Excel and PowerPoint required. Experience with Oracle or other large ERP systems is a plus.
- Education: A bachelor’s degree in Finance, Accounting, Business Administration, Economics, Statistics, or a related field is preferred.
- Attention to Detail: Strong focus on accuracy and precision, with the ability to work meticulously in a detail-oriented environment. Comfortable analyzing granular data as needed to meet organizational standards.
- Initiative and Drive: A self-starter who can work independently with a high sense of urgency and an entrepreneurial mindset to meet deadlines.
- Adaptability: Comfortable navigating shifting priorities in a dynamic, fast-paced environment.
- Communication and Organization: Excellent verbal and written communication, presentation, organizational, and teamwork skills.
- Collaboration: Proven ability to build and maintain strong relationships with business partners and collaborate effectively across teams.
- Analytical and Strategic Thinking: Strong analytical capabilities combined with strategic thinking skills.
- Teamwork: A collaborative team player who fosters active partnerships across cross-functional teams.
- Executive Presence: Confidence and professionalism in interactions with departmental leadership and senior executives.
Pay Rate: $65,000- $80,000 and may include a discretionary bonus. Final compensation will be dependent upon skills & experience.
Additional Information
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Date Posted
01/31/2025
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