Skip to content
mimi

Senior Financial Analyst, Capital Markets & International Treasury [Remote]

Novaedge

Nigeria · On-site Full-time Senior $85k – $105k/yr 2d ago

About the role

About

#WeAreParamount on a mission to unleash the power of content… you in? We've got the brands, we've got the stars, we've got the power to achieve our mission to entertain the planet – now all we're missing is… YOU! Becoming a part of Paramount means joining a team of passionate people who not only recognize the power of content but also enjoy a touch of fun and uniqueness. Together, we co‑create moments that matter – both for our audiences and our employees – and aim to leave a positive mark on culture.

Paramount Skydance Corporation (NASDAQ: PSKY) is a leading global media and entertainment company that creates premium content and experiences for audiences worldwide. Driven by iconic studios, networks and streaming services, Paramount's portfolio of consumer brands includes CBS, Showtime Networks, Paramount Pictures, Nickelodeon, MTV, Comedy Central, BET, Paramount+, and Pluto TV, among others. Paramount delivers the largest share of the US television audience and boasts one of the industry's most important and extensive libraries of TV and film titles. In addition to offering innovative streaming services and digital video products, the company provides powerful capabilities in production, distribution and advertising solutions.

Overview & Responsibilities

Reporting to the Senior Director of Capital Markets and the VP of International Treasury, the Sr. Financial Analyst will play a dual role supporting both domestic capital markets and international treasury functions within the Corporate Treasury Group. This role partners closely with Accounting, Financial Reporting, Legal, Tax, and divisional finance teams, and interacts with key banks and rating agencies.

Capital Markets Responsibilities

  • Support short‑term borrowing via commercial paper and revolving credit facilities
  • Execute capital markets initiatives: debt issuance, share repurchase, short‑term borrowing, and hedging strategies
  • Track and forecast rating agency metrics and covenant compliance
  • Analyze divisional cash flows and liquidity forecasts
  • Financial modeling and cash flow forecasting
  • Monitor compliance ratios under credit agreements

International Treasury Responsibilities

  • Support FX trading and hedge programs/documentation and SEC reporting
  • Coordinate global cash repatriation and tax restructuring efforts
  • Consolidate and analyze international cash flow forecast
  • Lead or support strategic treasury projects across international markets

Basic Qualifications

  • Bachelor's degree in Finance, Accounting, or related field (MBA/CFA a plus)
  • 4+ years of experience in treasury, corporate finance, banking, or FP&A
  • Solid understanding of finance and accounting principles
  • Proficient in MS Excel (pivot tables, SUMIF), Word, and PowerPoint

Additional Qualifications

  • Experience with Bloomberg and financial modeling a plus
  • Strong communication and analytical skills
  • Detail‑oriented and able to manage multiple priorities
  • Comfortable working in a dual‑reporting structure and cross‑functional environment

#LI‑SJ2

Additional Information

Hiring Salary Range: $85,000.00 – $105,000.00. The hiring salary range for this position applies to New York City, California, Colorado, Washington state, and most other geographies. Starting pay for the successful applicant depends on a variety of job‑related factors, including but not limited to geographic location, market demands, experience, training, and education.

Benefits: medical, dental, vision, 401(k) plan, life insurance coverage, disability benefits, tuition assistance program and PTO or, if applicable, as otherwise dictated by the appropriate Collective Bargaining Agreement.

What We Offer

  • Attractive compensation and comprehensive benefits packages. Check out our full list of benefits here:
  • Generous paid time off
  • An exciting and fulfilling opportunity to be part of one of Paramount's most dynamic teams
  • Opportunities for both on‑site and virtual engagement events
  • Unique opportunities to make meaningful connections and build a vibrant community, both inside and outside the workplace

Paramount is an equal opportunity employer (EOE) including disability/vet.

Note: Posting is subject to change so please refer to career site for latest availability (SBJ‑G337).

Apply to this job. Apply to this job.

Requirements

  • Solid understanding of finance and accounting principles
  • Proficient in MS Excel (pivot tables, SUMIF), Word, and PowerPoint
  • Experience with Bloomberg and financial modeling a plus
  • Strong communication and analytical skills
  • Detail-oriented and able to manage multiple priorities
  • Comfortable working in a dual-reporting structure and cross-functional environment

Responsibilities

  • Support short-term borrowing via commercial paper and revolving credit facilities
  • Execute capital markets initiatives: debt issuance, share repurchase, short-term borrowing, and hedging strategies
  • Track and forecast rating agency metrics and covenant compliance
  • Analyze divisional cash flows and liquidity forecasts
  • Financial modeling and cash flow forecasting
  • Monitor compliance ratios under credit agreements
  • Support FX trading and hedge programs/documentation and SEC reporting
  • Coordinate global cash repatriation and tax restructuring efforts
  • Consolidate and analyze international cash flow forecast
  • Lead or support strategic treasury projects across international markets

Benefits

medicaldentalvision401(k) planlife insurance coveragedisability benefitstuition assistance programPTO

Skills

BloombergExcelPowerPointWord

Don't send a generic resume

Paste this job description into Mimi and get a resume tailored to exactly what the hiring team is looking for.

Get started free