Job Summary:
Reporting to the Director, Treasury, this twelve (12) month fixed term Acting Manager, Treasury position will oversee liquidity management, cash forecasting, and the debt & lease portfolio. The Acting Manager, Treasury will supervise the Treasury team and ensure smooth daily treasury operations.
Duties & Responsibilities:
Manage daily cash positions, short-term liquidity and Board-level cash forecasting
Monitor debt schedules, maintenance reserve schedules, covenant reporting, and aircraft/engine financing
Manage merchant services, settlement timelines, address exceptions or delays and administer portals
Oversee banking portfolio, documentation, signatories and portal administration
Negotiate deposit requirements and manage Letters of Credit
Trade foreign exchange and support confirmation process
Liaise with business teams and insurance brokers for annual renewals and claims
Supervise and support a team of Treasury Analysts
Work on special projects as required
Support new station treasury setups and cross-functional treasury initiatives
Drive process improvements and automation initiatives
Other duties as assigned
Actively participate in Porter's Safety Management System (SMS) including, reporting hazards and incidents encountered in daily operations; understand, comply and promote the Company Safety Policy
Behavioural Competencies:
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