Nick Drew
Vice President of Finance and Controller at Talisman Capital Partners
- Role
- Vice President of Finance and Controller at Talisman Capital Partners
- Location
- Columbus, OH, US
- LinkedIn followers
- 500 followers
About Nick Drew
Seasoned finance leader with public company and Big 4 experience leading both strategic and compliance organizations. An accountant by trade (CPA 2007), I started my post-public accounting career in technical accounting and eventually progressed to lead SEC reporting, monthly close consolidation and SOX compliance. In 2019, I transitioned to head our Investor Relations and Corporate Finance group where I serve as the spokesperson for the company\'s large institutional investors (equity and fixed income), sell-side analysts and investment bankers. This responsibility includes preparing executive management for quarterly earnings calls and developing our long-term financing plan. In 2020, I added the Assistant Treasurer responsibilities which includes debt and equity capital market relationships and execution, cash forecasting and daily cash operations.
Experience
Vice President of Finance and Controller
Feb 2021 — Present · Columbus, OH, US
Finance: • Valuation of Talisman private equity investments • Interface with investment / fund managers to build ad-hoc analysis of investment performance • Present to Talisman principals on investment positioning and performance • Administration of passively-managed private equity investments (subscription agreements, capital calls, distributions, reporting) • Development and ongoing analysis of annual Talisman budget • Procurement of commercial insurance for Talisman operationsController: • Production of quarterly financial statements for over 30 Talisman entities • Periodic cash flow and balance sheet reporting for Talisman principals personal portfolios • Design and implementation of internal controls and fraud prevention procedures over the movement and reconciliation of cash (wire transfers, ACHs, A/P check runs) • Administration of payroll and employee benefitsTreasury / Cash Management: • Periodic cash forecasting for Talisman principals and entities • Establishment and tracking of promissory notes / interest and payment schedules • Ensure sufficient liquidity to feed Talisman private equity portfolio • Primary point of contact with external banking partners • Cash management / reconciliation of checking / custody accounts
Education
The Ohio State University Fisher College of Business
B.S., Accounting
2001 — 2005
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