Firm is seeking a Finance Director of Treasury to join its Finance & Accounting team. Reporting to the Vice President of Treasury, the Director will play an important role in supporting the company’s retail, cultivation and manufacturing growth initiatives while having the unique opportunity to be involved in ground breaking industry first scenarios. The person will play a critical role in building out the treasury function in a fast paced and dynamic environment.
The Director will assist in the hiring, developing, mentoring and leading of MedMen’s treasury team and will build capacity and capabilities for the company by providing timely, relevant and sound strategic and financial information. This person should also have strong presentation, reporting building and analysis experience, with a strong work ethic as well be able to work cross-departmentally
Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.
Provide strong financial thought leadership and direction within the company’s treasury department
Oversee all cash management functions including cash movement, concentration, wires, account funding
Ensure adequate liquidity for working capital needs and invest short term excess cash
Establish internal controls related to cash handling and processing
Manage cash management banking and financial institution relationships
Identify debt financing relationships for any large fixed asset capital needs
Supervise all treasury management activities including setting cash, executing wire transfers, opening and closing bank accounts, and securing new services
Understand and manage relevant accounting procedures and processes, support month/quarter/year-end Treasury-related entries and disclosure requirements with Accounting team
Administer treasury manuals, policies, procedures, and processes for current practices
Direct an effective rollout of the corporate purchasing card
Support the training, coaching and development of a growing treasury team
Ability to work in a fast-paced, continuously changing,
Ability to work within ambiguity, identify and solve complex
Excellent written and verbal communication skills and experience interacting with all levels of
Demonstrated ability to use technology to gather, extract and transfer information/data
Ability to work independently, effectively handle multiple competing priorities and manage deadlines under pressure.
Works with integrity in a manner consistent with MedMen’s values and
High accountability that delivers on commitments and holds others to
Required Education and/or Experience
Bachelor’s Degree in Finance, Accounting or related discipline; Master’s Degree
8-10+ years of related experience
Experience in overall cash management including preparing cash forecasts and cash flow analysis
Strong analytical and financial acumen
Knowledge of CPG, manufacturing, distribution or retail industries
Must live within 30 miles of Culver City Office
Work Authorization/Security Clearance
There is no visa or H1-B sponsorship. Candidates must successfully complete a criminal record and drug screening check, and a Live-Scan (as applicable).
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities, and activities may change at any time with or without notice.