Vice President of Treasury
Kaufman Search Group - Burbank
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Our client, Cast & Crew, has retained us to identify a Vice President of Treasury/Treasurer reporting to the Senior Vice President of Finance of the company. We have completed several searches for the company over the last 18 years, including their Chief Financial Officer, Vice President of Finance/Controller, Vice President of Payroll Tax, Vice President of Corporate Development, and the Senior Vice President of Finance. The company is headquartered in Burbank, California. The company supports a hybrid work schedule.
The Treasurer is responsible for overseeing all cash management responsibilities including optimizing cash flow, managing debt obligations, and ensuring strong controls around all banking activities. This role plays a critical part in driving treasury innovation, implementing next-generation treasury management systems, and collaborating cross-functionally to enhance financial strategy, forecasting and risk mitigation. The ideal candidate will bring deep expertise in fintech, payroll processing, or financial services, with a track record of success in managing complex, high-transaction, high-dollar volume operations while driving financial and operational efficiency. The Treasurer manages a team of six, working closely with Finance leadership, executing in accordance with the company’s corporate financial objectives.
About Cast & Crew
Cast & Crew grew from a modest small business in 1976 to be the premiere provider of entertainment technology and solutions, staying true to their mission of modernizing content production and leading the digital transformation within the industry. Their cloud-based solutions and industry expertise help streamline the entire production lifecycle and have revolutionized how content is made. They now have a global workforce across a host of storied brands, spanning all areas of produced and live entertainment, from film, television, streaming, to advertising, live events, and short-form.
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If you have any questions or require further information, please contact Adam Kaufman at 818.216.7684 or
Core Responsibilities
- Liquidity Management: Oversee daily cash management operations, ensuring adequate liquidity to support business operations while optimizing cash utilization.
- Debt and Capital Management: Manage debt payments, borrowings, and compliance with debt covenants, ensuring strategic alignment with financing agreements.
- Investor, Lender, and Rating agencies Reporting: Support SVP Finance in providing detailed and accurate reports on cash and liquidity movements to investors and lenders.
- Banking Relationships: Manage relationships with banking partners, negotiate banking services, and ensure compliance with financial agreements.
- Risk & Compliance: Ensure adherence to internal controls, corporate policies, and regulatory requirements related to treasury operations.
- Treasury Technology & Process Improvement: Evaluate and implement treasury management systems and automation to enhance efficiency and transparency.
- Team Leadership: Lead and develop a high-performing treasury team, providing mentorship and growth opportunities.
- Strategic Financial Planning: Collaborate with FP&A and senior finance leadership to align treasury strategy with corporate financial goals.
Job Duties
- Contribute to the development of capital market strategies, ensuring treasury's role facilitates business expansion and financial flexibility
- Develop and execute a global liquidity and cash flow optimization strategy, including dynamic short-term forecasting and efficient cash deployment
- Manage day-to-day cash/treasury functions including but not limited to: cash management strategies, corporate borrowing, investing, cash flow forecasting, foreign exchange management, cash receipts, cash disbursements and account reconciliations
- Spearhead the evaluation and implementation of next-generation Treasury Management Systems (TMS) with advanced automation and real-time banking integrations
- Assist in developing finance and business presentations such as: monthly financial reporting, Board of Directors presentations and lenders' presentations
- Design and implement a strategic FX risk framework to mitigate currency exposure and optimize hedging costs.
- Identify opportunities for cost savings, automation, and process enhancements to ensure continuous treasury improvements including emerging technologies such as AI-driven forecasting and account reconciliation automation
- Develop and execute strategies to optimize the company’s capital structure, manage risk, and minimize financing costs
- Cultivate and maintain relationships with banks, financial institutions and ratings agencies
- Conduct comprehensive financial modeling, scenario analysis, and liquidity forecasting to guide strategic decision-making around capital allocation, debt management, and financing alternatives
- Manage balance sheet optimization, including working capital management, leveraging financial metrics to ensure efficient use of assets and liabilities
- Develop, implement, and maintain necessary governance documentation including policies and procedures, controls, and process flows over treasury activities
Key Qualifications
- Bachelor’s degree in Finance, Accounting, or a related field; CTP preferred, CPA/MBA a plus
- 10+ years of progressive experience in treasury, corporate finance, or related fields, with at least 5 years in a leadership role managing global liquidity and commercial banking relationships
- Experience in payroll processing, FinTech or financial services preferred
- Strong understanding of liquidity management, cash forecasting, debt financing, and treasury risk management.
- Proven track record in evaluating and implementing treasury management systems, API integrations, and AI-driven forecasting
- Team player with excellent communication and interpersonal skills, with the ability to interact with senior executives, investors, external partners and cross-functionally
- Familiarity with equity compensation tools such as Certent Equity Management is a plus.
- Strong computer skills, including Microsoft Excel and Powerpoint
- Ability to thrive in a fast-paced, dynamic work environment
LEADERSHIP BIOGRAPHIES
Thommy Guerrero-Senior Vice President of Finance
Strategic finance executive with over 15 years of leadership experience across FP&A, treasury, investor relations, and corporate development, with a passion for building high-performing teams and enabling bold, data-driven decisions that accelerate growth and scale.
- Joined Cast & Crew in 2024 as SVP of Finance, initially overseeing FP&A and Sales Operations Finance
- Responsibilities have since expanded to include Treasury and Investor Relations, driving alignment with EQT and the Board on capital allocation, liquidity, and financial performance
- Leads financial strategy for both core business lines and emerging growth initiatives, including the digital transformation of Cast & Crew’s platforms
- Plays a central role in lender and investor communications, debt optimization, and strategic budgeting, including the rollout of zero-based budgeting for FY26
- Previously served as CFO of Branch Insurance, a VC-backed unicorn in the P&C insurance space, where he led financial strategy, investor relations, statutory reporting, and fundraising
- Prior to Branch, was Head of Finance at MediaAlpha, a digital media buying platform serving top U.S. auto and home insurance carriers; led FP&A, investor relations, and over $300M in debt financing, and was part of the leadership team that took the company public
- Began his career in principal investing before transitioning into senior finance roles within operating companies
- Holds a B.B.A. in Accounting from Pace University and is an endurance athlete on a mission to complete the LA Marathon in under 4 hours
Sally Knutson-Chief Financial Officer / Executive Vice President
Seasoned finance executive with 35 years of financial management, corporate development, and strategic planning experience focused on exponential growth and continued success, recognized as a “top CFO in the Valley” by the San Fernando Valley Business Journal
- Joined Cast & Crew as chief financial officer and senior vice president of finance in 2006
- Named executive vice president in 2012
- Provided the financial leadership for the company through many strategic acquisitions and four private equity transactions, including the investment from EQT in 2019, a global investment organization based in Stockholm, Sweden
- Earlier in her career, she held senior finance positions with Move, Inc. (formerly known as Homestore, Inc.), Buena Vista Home Entertainment, Inc. (a division of The Walt Disney Company), Dole Food Company (formerly known as Castle & Cooke), and PricewaterhouseCoopers (formerly known as Price Waterhouse)
- Graduated with honors from UCLA and received a Bachelor of Arts in Economics with an emphasis in business
About Kaufman Search: For more than 30 years we have been specializing in the placement of Accounting, Finance, Tax and Human Resources professionals in Southern California. Our expertise, contacts, and reputation combine to help companies identify, attract, and acquire the most talented professionals. Thank you. For more details please visit . Thank you.
Seniority level
Seniority level
Executive
Employment type
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Full-time
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FinanceIndustries
Entertainment Providers and Financial Services
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