Financial & Treasury Analyst at LEIA Inc
Nashua, NH 03062, USA -
Full Time


Start Date

Immediate

Expiry Date

30 Nov, 25

Salary

0.0

Posted On

31 Aug, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

IMMERSITY ON ANY DEVICE:

At Leia, our mission is to make immersive experiences available to anyone, on any device.
The digital world is moving beyond flat screens. Immersive, spatial content is becoming the new default—driven by next-gen capture devices, real-time AI transformation, and a growing consumer appetite for deeper, more natural experiences.
Our Immersity platform turns digital moments into immersive experiences, making the user feel part of the scene, rather than staring at it. Immersity combines the most advanced optics and AI-software suite—seamlessly integrated into any personal device. Phones, tablets, laptops, monitors become spatial interfaces, delivering the future of media consumption.

Responsibilities

WHAT YOU WILL DO:

The Financial & Treasury Analyst will play a key role in supporting the management reporting requirements at Leia. This role will also support various aspects of treasury operations, with a primary focus on global cash management, foreign exchange operations, treasury systems, controls, and compliance. This person will be responsible for assisting with solidifying, and in enhancing the FP&A environment at Leia which includes: utilizing various systems to streamline reporting capabilities, financial forecasting, budgeting, and analysis to support strategic decision-making across the organization.

CORE RESPONSIBILITIES:

  • Prepare financial reports, analyze financial data, identify discrepancies, and suggest improvements to processes.
  • Manage data consolidation throughout budget, planning, and forecasting process.
  • Utilize both ERP and FP&A software platforms to streamline and enhance reporting capabilities.
  • Monitor daily cash positions, manage cash flow, execute payments, and maintain cash forecasts.
  • Maintain treasury management systems, ensure compliance with regulations, and develop treasury policies.
  • Manage relationships with banks and financial institutions, negotiate services, and ensure efficient transaction processing.
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