Los Angeles, CA9 days ago
The position will focus on a broad range of cash management-related requirements supporting the LG H&H USA affiliates in North America, including, but not limited to, the processing of daily cash balance and transactional data, the maintenance of the treasury workstation and related data feeds from partner banks, administering daily liquidity and preparing daily cash and liquidity reports. This position will work closely with Finance leadership and support various accounting functions including general ledger maintenance, reporting, accounts payable/receivable support, expense analysis, and operational finance initiatives.