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Netflix Manager Investor Relations & Corporate Research 
United States, California, Los Angeles 
726610045

19.07.2024
This role will report to the VP of Investor Relations and is based in our Los Angeles office.
Responsibilities:
  • Creating materials to support our investor relations activities (e.g. earnings prep, investor meetings, and engagements) and helping to evolve our external metrics.
  • Building financial models and conducting detailed industry, company, and competitive analyses.
  • Actively monitoring our public and private competitive peers (e.g. SEC filings, investor day materials, etc.) to understand strategies and report on key developments.
  • Developing a deep understanding of external industry and internal company trends and competitive strategies.
  • Creating insightful presentations and well-written memos that summarize analyses and present them to senior business leaders such as the CFO, head of IR, etc.
Qualifications:
  • 5+ years of sell-side, buy-side, or investing experience or strategy roles; other highly analytical backgrounds are encouraged to apply. Prior Wall Street/equity investing experience would be highly valuable.
  • Strong financial modeling skills and extensive experience conducting quantitative and qualitative analysis as well as an understanding of public company financial filings and disclosure.
  • Strong written and verbal communication/presentation skills with a track record of presenting complex analyses to executives/senior management clearly and concisely.
  • Expertise in the media industry (having worked in a studio, production company, agency, distributor, or industry coverage) is a strong plus though not required.
  • Strong intellectual curiosity.
  • Very strong project management, planning, and organization skills, including the ability to handle multiple projects simultaneously in a fast-paced environment and to deliver work under a tight timeline.
  • Exceptional proficiency with Google Workspace, MS Excel & PowerPoint and financial data software like CapIQ; working knowledge of statistics and analysis packages.
  • Bachelor's degree in finance, economics, mathematics, statistics or other relevant fields that demonstrates an aptitude for both quantitative and critical thinking.
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 $160,000 - $470,000.