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IAC // media & internet conglomerate with 150+ brands
New York City    Posted: Friday, November 13, 2020
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IAC builds companies. We are guided by curiosity, a questioning of the status quo, & a desire to invent or acquire new products & brands. From the single seed that started as IAC over two decades ago have emerged 10 public companies & generations of exceptional leaders. We will always evolve, but our basic principle of financially-disciplined opportunism will never change. IAC today operates Vimeo, Dotdash, &, among many others, & also has majority ownership of ANGI Homeservices, which includes HomeAdvisor, Angie's List, & Handy. The company is headquartered in New York City & has business operations & satellite offices worldwide.

This position will act in a support capacity for the Treasurer & Manager, Global Treasury Operations in carrying out a variety of corporate finance & treasury initiatives. The role requires a highly organized person who demonstrates a very keen attention to detail, a high level of proficiency with Excel with comfort working in complex spreadsheets, an understanding of financial concepts, & strong communication skills. The role will also work closely with the treasury & finance managers within the business units & will be required to meet strict internal & external timelines.


  • Support daily corporate domestic & international cash management & treasury duties including cash positioning, intercompany loan administration, global cash balance reporting, & settlement of treasury transactions
  • Assist the operating divisions in implementing strategic initiatives & new treasury solutions both domestically & abroad
  • Help integrate new companies into the cash management structure
  • [Act as primary liaison between business units & banks regarding account services, bank platform administration, & ad hoc bank implementation projects.]
  • Daily / Monthly / Quarterly Reporting, including SOX, investment management performance, liquidity tracking, accounting compliance, treasury benchmarking, fee analysis, etc.
  • This position will work closely with the Financial Planning & Analysis, Audit & Accounting teams as it relates to cash flow forecasting, compliance, & SEC reporting
  • Perform ad hoc projects as requested


  • BS in Accounting, Finance or equivalent quantitative major
  • Previous experience in cash management, accounting, and/or finance in a corporate environment
  • Solid understanding of finance, accounting, economics, & statistics
  • Strong analytical skills & advanced computer skills including MS office products & specifically Excel.
  • Excellent oral & written communication skills required
  • A strong passion for the financial markets
  • Strong analytical skills & high proficiency with MS office products
  • Ability to contribute successfully to cross-functional teams required
  • Strong attention to detail
  • High personal & professional integrity
  • Flexibility to perform effectively in a fast-paced, demanding environment
  • Exhibit strong organizational skills & the ability to prioritize is a must
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