- B2B
- Public StagePublicly traded company
Financial Analyst, FP&A and Treasury
- Full Time
Not Available
About the job
Who You Are:
Getty Images Inc. is seeking a Financial Analyst in a unique role, working closely with our Treasury and FP&A teams to support their objectives. The ideal candidate is one who thrives in a fast-paced dynamic environment, possesses a high level of intellectual curiosity, and is adept at manipulating large data sets to generate actionable insights and results. You are a self-motivated individual who can prioritize and multi-task, work well under pressure, and meet tight deadlines. You are organized, detail-oriented and have stellar time management skills.
You will be responsible for day-to-day Treasury and FP&A operations. You excel at presenting complex data and insights in digestible and meaningful presentations and bite-size formats for a diverse audience. You are willing to invest the time to develop cross-functional relationships in the business and understand the importance this has in your work and your career development. You want to join an industry leader and two collaborative, hardworking, and results-driven teams within Finance, supporting a global organization.
Your Next Challenge:
This is a unique opportunity for collaboration and exposure to the Treasury and FP&A teams. The responsibilities outlined below reflect the variety and scope of work this role requires and the potential for skill development and growth.
Treasury Responsibilities
• Cash Review & Reporting: Conduct daily reviews of cash transactions and global cash position, preparing reports for team management.• Operational Bank Account Management: Assist in managing operational relationship bank accounts, including releasing payments for global AP, tax, and payroll teams in compliance with corporate policy. Coordinate compliance and KYC requests from our global banking network, provide access and operational support to our global finance teams, and assist in team SOX compliance processes.• Bank Fees: Review, analyze, and control global bank fees.• Insurance Administration: Support corporate insurance renewal processes, manage Certificate of Insurance requests, and provide insights into the company's insurance policies.• Ad Hoc Reporting: Provide ad hoc reporting to support broader Treasury and Investor Relations functions.• Projects: Assist in developing and enhancing internal systems, processes, and documentation. Participate in ad hoc projects as requested by management.
FP&A Responsibilities
Monthly Financial Reporting and Presentation:• Collaborate with the FP&A team to generate insightful and accurate monthly, quarterly, and ad hoc reports for the Board of Directors, incorporating P&L variance analysis, key global operational metrics, and detailed fluctuation commentary.• Take ownership of creating tables, charts, and initial drafts of monthly financial presentations for the CFO, CEO, and the Board of Directors.
Business Partnering: • Partner with various business functions and the wider financial and accounting teams, using analytical skills to thoroughly investigate monthly performance drivers and variances from expected performance. Effectively communicate results.• Navigate complex financial models and system querying tools to support these efforts.
Budgeting and Forecasting: • Review inputs and maintain accuracy of financial modeling in Hyperion. Assist in monthly and quarterly reporting across all business functions. Update and distribute annual functional budget presentations.
What You'll Need:
- Minimum of 1 year of experience in a treasury or financial analysis role
- BA/BS degree or equivalent preferred, with strong emphasis in quantitative disciplines such as finance, economics, statistics, or accounting
- Excellent communication and presentation skills, both written and oral
- Experience working in a corporate environment, preferably global or multinational
- Willingness to embrace teamwork with a “can-do” attitude and be comfortable taking ownership of the work you contribute to the team with an emphasis on competency and accuracy
- Superior time management and organization skills, with strong attention to detail
- Ability to work remotely with indirect oversight whilst maintaining close communication
- Comprehensive MS Office skills with advanced MS Excel; experience with Kyriba and/or Hyperion a plus
- Experience with analyzing and manipulating large quantities of data, compiling relevant, timely, and reliable analysis an advantage
- Knowledge of treasury operations and banking activities an advantage
- Foreign language an advantage, ideally Spanish