Sr. Financial Analyst, Bilingual Korean/English (LG Tech Ventures)

LG Electronics

LG's Mission is to be #1 by creating a better life for our customers. At LG we make products and services that make lives better, easier and happier through increased functionality and fun. Put simply, we offer the latest innovations to make “Life Good”! As a global leader, we strive for greatness not only in the products we make but in our people. That is why we are currently seeking the newest innovator to join our team as a Financial Analyst, located in Santa Clara, California. This is currently a hybrid position.

LG Technology Ventures is the venture capital investment arm of the LG Group. LG Technology Ventures was established in 2018 and its team consists of experienced investors, entrepreneurs, technologists, and industry domain experts. Currently, LG Technology Ventures is managing over $400 million of fund assets and invests in early-stage start-ups in artificial intelligence, mobility, advanced materials, life-sciences, next generation display, mobile, and 5G. We strive to create value to our portfolio companies by helping them develop strategic partnerships with various LG Companies.

Job Description:

We are seeking a dedicated Financial Analyst to join our team and take charge of the Company’s Cash Flow, Payments, and Budget Management with Financial planning experience.

In this pivotal role, you will play a key part in ensuring the financial health and stability of the organization.

What You’ll Do:

Cash Flow Oversight:

  • Manage day-to-day cash flow operations.
  • Facilitate operational payments, including wire transactions for investment activities.

Budget Management:

  • Analyze and manage the Company’s budget on a Monthly/Quarterly/Yearly basis.
  • Conduct revenue and expense forecasts to provide an accurate view of the Company’s financial situation.
  • Make necessary adjustments to the budget as needed.

Fund Operation Support:

  • Collaborate with team members to support Fund Operation activities.
  • Manage cash flow in each Funds’ accounts.
  • Conduct financial risk analysis for Portfolio companies.
  • Facilitate the sending/receiving of capital calls for our LP companies and portfolio companies.

Job Requirements:

  • Bachelor's degree in Finance, Accounting, or a related field with 5+ years of experience.
  • Proven experience in financial analysis, cash flow management, and budget oversight.
  • Strong analytical skills with the ability to conduct accurate revenue and expense forecasts.
  • Excellent communication and teamwork skills. - Bilingual in both English and Korean; Strong English language spoken and written communication skills. Korean language - conversational or higher level of expertise is desirable to communicate day to day basis with LG affiliates in Korea.

Preferred Experience and Skills:

  • Treasury / Financial planning experience

At LG, we aspire to empower people and celebrate differences because we believe diversity will create the unexpected. We provide equal employment opportunity to all individuals regardless of their race, color, creed, religion, gender, age, sexual orientation, national origin, disability, veteran status, or any other characteristic protected by state, federal, or local law. Consistent with our commitment to providing equal opportunity and embracing diversity, LG has implemented affirmative action to ensure applicants are employed and employees are treated without regard to these characteristics.

In addition to the above, LG believes that pay transparency is a key part of diversity, equity, and inclusion. Our salary ranges take into account many factors in making compensation decisions including but not limited to skillset, experience, licensure, certifications, internal equity, and other business needs. While we consider geographic pay differentials in final offers, because we operate in many geographies, where applicable, the salary range listed may not reflect all geographic differentials applied. #LI-JH1

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Confirmed 4 hours ago. Posted 30+ days ago.

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