VP - TREASURY

2 weeks ago


Hollywood, United States HR Digital - Hollywood Full time
Job DescriptionJob Description

Overview

What are we building?

Hard Rock Digital is a team focused on becoming the best online sportsbook, casino, and social casino company in the world. We’re building a team that resonates passion for learning, operating, and building new products and technologies for millions of consumers. We care about each customer interaction, experience, behavior, and insight and strive to ensure we’re always acting authentically.

Rooted in the kindred spirits of Hard Rock and the Seminole Tribe of Florida, the new Hard Rock Digital taps a brand known the world over as the leader in gaming, entertainment, and hospitality. We’re taking that foundation of success and bringing it to the digital space — ready to join us?

What’s the position?

The VP of Treasury will be responsible for leading the day-to-day treasury operations. This includes oversight and management of compliance for business wide policies and procedures for securing, forecasting, investing, and managing cash.

The position will assist with building and maintaining relationships with all the organization’s key banking partners and leading on all treasury system related initiatives including the potential rollout of a Treasury Management System, financial system implementations and administration.

What are we looking for?

Our ideal candidate will:

  • Assist with the company capital structure, capital allocation, and debt instrument decisions.
  • Coordinate working capital needs across the various regions; ensure positive cash flow and coordinate any borrowing needs, as applicable.
  • Coordinate with company ownership on periodic capital calls
  • Coordinate movement of cash throughout the organization to ensure all accounts are properly funded
  • Develop, implement, and monitor systems, policies, and procedures to move funds efficiently and securely when required and to third parties; maintain and enforce proper internal controls throughout the organization.
  • Develop processes and systems to determine daily cash position
  • Oversee and manage submission of various daily, weekly, and monthly reports and forecasts; ensure that metrics are complied with the data provided and used for various purposes including forecasting, models, wallet share, etc.
  • Oversee and drive Wallet reporting and analysis to ensure the company as a whole is distributing business cost effectively and fairly across banking partners.
  • Ensure treasury activities are in compliance with treasury policies, accounting guidelines and governance policies

In addition, we are looking for:

  • Bachelor’s Degree or equivalent in business related degree; MBA a plus; Certified Treasury Professional (CTP) and/or CPA (or regional equivalents) are preferred
  • Strong financial acumen; understanding of how businesses work. Ability to weigh financial risks and explore options suitable for different scenarios.
  • Understands the principles of cash management, foreign exchange, hedging, investing, and other treasury principles.
  • Influential communicator, who collaborates and not afraid to make information-based decisions for the best interest of the Company
  • Robust investment management skills
  • Extensive knowledge of MS Office programs and proficiency in use of appropriate treasury and finance software


What’s in it for you?

We offer our employees more than just competitive compensation. Our team benefits include:

  • Competitive pay and benefits
  • Flexible vacation allowance
  • Startup culture backed by a secure, global brand

Roster of Uniques

We care deeply about every interaction our customers have with us, and trust and empower our staff to own and drive their experience. Our vision for our business and customers is built on fostering a diverse and inclusive work environment where regardless of background or beliefs you feel able to be authentic and bring all your talent into play. We want to celebrate you being you (we are an equal opportunities employer)