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Responsibilities
Collaborate closely with the extended Treasury Team, Financial Planning & Analysis, Production Finance, Technical Accounting, IT Operations, Data Science & Engineering, Tax, and Legal teams to generate accurate forecasting data & associated analytics.
Develop and maintain internal models to assess the cost of execution, VaR, and other ad hoc initiatives around risk quantification.
Develop and prepare FX management reports and hedging performance metrics, providing key stakeholders across Netflix with valuable insights.
Prepare trades in accordance with our hedge strategies and ensure completion of trade workflow. Ability to grow into trade execution.
Gain an in-depth understanding of Netflix's various foreign currency revenue and expense streams and their implications on free cash flow, the income statement, and the balance sheet.
Conduct rigorous quantitative and qualitative analysis of global financial markets and trends concerning our FX and interest rate exposure.
Support additional Treasury projects and provide thought leadership backed by quantitative analysis.
Liaise with the Accounting team to perform month and quarter-end close activities related to FX.
Ensure compliance activities are performed according to Netflix’s policies and internal control environment; support internal and external audits.
Key Qualifications Required:
3+ years experience in corporate treasury, or related experience in banking or consulting
Bachelor’s/Master's in engineering, mathematics, statistics or applied sciences
Pursuing or willing to pursue CFA or FRM certifications
Keen interest in global markets and different asset classes
Some familiarity with statistical language (Python/R) & BI software (Tableau/Power BI) with strong logic-building skills to write codes by using AI platforms
Experience maintaining and developing models and large datasets
Meticulous approach to problem-solving while possessing strong analytical, decision-making, and communication skills
Preferred:
Experience/theoretical understanding of derivatives and corporate finance principles
Prior experience using Bloomberg and some familiarity with trade execution platforms
Basic familiarity with accounting principles and reading different financial statements
Our compensation structure consists solely of an annual salary; we do not have bonuses. You choose each year how much of your compensation you want in salary versus stock options. To determine your personal top-of-market compensation, we rely on market indicators and consider your specific job family, background, skills, and experience to determine your compensation in the market range. The range for this role is $50,000 - $240,000.
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