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Finance Manager - New York New York
Company: Kimmeridge Location: New York, New York
Posted On: 05/02/2024
Founded in 2012, Kimmeridge is an alternative asset manager focused exclusively on the energy sector. The firm is differentiated by its deep technical knowledge, proprietary research and data gathering. Kimmeridge is committed to its core values of integrity, innovation and teamwork and aims to deliver best-in-class performance. Innovation, Integrity, and Teamwork have been the guiding values of Kimmeridge since its inception. Innovative teams with diversity of thoughts, backgrounds, experiences, and skills enable the firm to develop creative strategies and achieve better outcomes. Kimmeridge leads with integrity in all decisions and understands the long-term value of being environmentally and socially responsible. Teamwork is vital at Kimmeridge and drives high-performing teams internally and successful partnerships. Kimmeridge's ability to execute on its best ideas is built on the trust and support within the team. Our values provide the foundation for Kimmeridge's culture of dignity, respect, and inclusivity. We believe both strategy and organizational culture are critical to overall success. Kimmeridge is not only committed to leading the global transition to net zero but is also committed to leading the industry with diversity and inclusion efforts. This position will support the oversight of Kimmeridge Treasury projections during monthly forecast routines and the strategic planning process. The individual will work extensively with internal stakeholders within Kimmeridge to accurately account for and project the multi-months impact of liquidity. Responsibilities - Daily cash management, including cash positioning and short term cash forecasting
- Back office confirmations and settlements
- Coordinate all loan activity (Management Company and Partners), capital calls and distributions
- Management of bank accounts, banking relationships, including bank account opening/closing/changes,
- Support the planning and forecasting process for Kimmeridge Management companies and Funds, maintaining working files
- Work closely with Investment teams and Controllers to forecast changes arising from variation in Kimmeridge business activities, and macroeconomic conditions
- Strategic planning and analysis for use of cash, with close coordination with tax team
- Support ongoing forecast vs. actual variance analytics and commentaries
- Optimize cash balances between debt, WC and Money Market investments
- Support the production of ad-hoc analyses, financial planning and review presentation materials for the CFO and the partners
- Build strong relationship with key internal stakeholders
- Maintenance and monitoring of hedging activity
- Payroll oversight/activity
- Managing foreign exchange needs Skills and Qualifications
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