Analyste Sénior Trésorerie \ Senior Treasury Analyst

Boisbriand, QC, Canada

Job Description


***English Description Follows French, Thanks***Analyste S\xc3\xa9nior - Tr\xc3\xa9sorerieBienvenue chez MHIRJEn tant que leader mondial de l\'aviation, nos services de classe mondiale constituent l\'\xc3\xa9pine dorsale des flottes a\xc3\xa9riennes du monde entier. Nous permettons, d\xc3\xa9veloppons et entretenons des liens puissants entre nos clients, nos collaborateurs et nos communaut\xc3\xa9s, en leur fournissant les ressources et les informations dont ils ont besoin pour prendre leur envol.Notre offreNous proposons des solutions compl\xc3\xa8tes d\'ing\xc3\xa9nierie op\xc3\xa9rationnelle et de support client, comprenant la maintenance, la remise \xc3\xa0 neuf, les publications techniques, les activit\xc3\xa9s de marketing et de vente pour l\'industrie mondiale des avions r\xc3\xa9gionaux. Notre si\xc3\xa8ge social est bas\xc3\xa9 \xc3\xa0 Boisbriand, au Qu\xc3\xa9bec, et nous sommes \xc3\xa9galement positionn\xc3\xa9s dans d\'importants hubs a\xc3\xa9ronautiques aux \xc3\x89tats-Unis et au Canada.L\'Analyste S\xc3\xa9nior est essentiel \xc3\xa0 la gestion optimale des liquidit\xc3\xa9s de la soci\xc3\xa9t\xc3\xa9 pour toutes les entit\xc3\xa9s juridiques du groupe.L\'Analyste S\xc3\xa9nior est responsable de la gestion des op\xc3\xa9rations quotidiennes, des pr\xc3\xa9visions ainsi que du financement. De plus, l\'Analyste S\xc3\xa9nior \xc3\xa9tablit de solides relations avec ses partenaires d\'affaires \xc3\xa0 l\'interne comme \xc3\xa0 l\'externe. Il est aussi responsable de maintenir un haut niveau de performance et un environnement de travail collaboratif.Responsabilit\xc3\xa9s principales:Se rapportant au Chef, Tr\xc3\xa9sorerie, l\'Analyste S\xc3\xa9nior - Tr\xc3\xa9sorerie assume les responsabilit\xc3\xa9s suivantes:A) Pr\xc3\xa9visions de la tr\xc3\xa9sorerie et gestion des liquidit\xc3\xa9s (en collaboration avec le Chef, Tr\xc3\xa9sorerie):a. Participe \xc3\xa0 dirige la gestion quotidienne des liquidit\xc3\xa9s.b. G\xc3\xa8re les pr\xc3\xa9visions trimestrielles des liquidit\xc3\xa9s et les comparaisons entre les liquidit\xc3\xa9s pr\xc3\xa9vues et budg\xc3\xa9t\xc3\xa9es.c. Analyse les variations des liquidit\xc3\xa9s actuelles et pr\xc3\xa9vuesd. Responsable de l\'am\xc3\xa9lioration continue des processus de gestion et de pr\xc3\xa9visions des liquidit\xc3\xa9s.e. Collabore avec les diff\xc3\xa9rents intervenants afin de produire des pr\xc3\xa9visions hebdomadaires et am\xc3\xa9liorer la qualit\xc3\xa9 de l\'information.f. G\xc3\xa8re diff\xc3\xa9rents rapports et analyses li\xc3\xa9s aux flux de tr\xc3\xa9sorerie, y compris les revues trimestriels et les budgets annuels.B) Activit\xc3\xa9s bancaires:a. G\xc3\xa8re les relations avec les banques.b. G\xc3\xa8re les transactions de change, incluant les n\xc3\xa9gociations de prix et les r\xc3\xa8glements.c. Supervise les diff\xc3\xa9rentes plateformes bancaires et est responsable des modifications aux profils des utilisateurs.d. Dirige diverses initiatives en lien avec la tr\xc3\xa9sorerie, incluant les services bancaires:i. Ouverture de comptes bancairesii. Gestion des signatairesiii. Implantation des nouveaux services bancaires chez MHIRJe. Dirige la revue interne de la documentation bancaire avec les intervenants juridiques de l\'entreprise.C) Op\xc3\xa9rations quotidiennes de la tr\xc3\xa9sorerie:a. G\xc3\xa8re les pr\xc3\xaats \xc3\xa0 terme, y compris les renouvellements et les remboursements en conformit\xc3\xa9 avec les exigences du groupe.b. G\xc3\xa8re la pr\xc3\xa9paration des pr\xc3\xa9visions et leur t\xc3\xa9l\xc3\xa9chargement dans le syst\xc3\xa8me ERP selon les exigences des pr\xc3\xaats et de mise en commun de la tr\xc3\xa9sorerie.c. Pr\xc3\xa9pare les rapports quotidiens de tr\xc3\xa9sorerie.d. Pr\xc3\xa9pare les conciliations bancaires (SAP vs. Banque).e. G\xc3\xa8re la liste des utilisateurs et en fait la revue annuelle.D) Am\xc3\xa9lioration des processus et contr\xc3\xb4les:a. Participe \xc3\xa0 l\'\xc3\xa9tablissement, au maintien et \xc3\xa0 l\'am\xc3\xa9lioration des proc\xc3\xa9dures et politiques de tr\xc3\xa9sorerie:i. Mod\xc3\xa8le de gestion des liquidit\xc3\xa9s \xc3\xa0 court termeii. Conciliation de l\'encaisse (SAP vs. Banque)iii. Pr\xc3\xa9visions trimestrielles et annuelles des flux de tr\xc3\xa9sorerieb. Responsable du maintien d\'un environnement de contr\xc3\xb4le solide en lien avec la gestion de la tr\xc3\xa9sorerie.c. Agit en tant que personne cl\xc3\xa9 de la tr\xc3\xa9sorerie pour les diff\xc3\xa9rents projets et initiatives de l\'entreprise.d. G\xc3\xa8re les demandes des auditeurs internes et externes en lien avec son champ d\'expertise.Comp\xc3\xa9tences Cl\xc3\xa9s :\xc3\x8atre titulaire d\'un baccalaur\xc3\xa9at en Finance ou Administration des Affaires.D\xc3\xa9tenir un titre CPA (un atout).Poss\xc3\xa9der 6 ans d\'exp\xc3\xa9rience pertinente avec un minimum de 3-4 ann\xc3\xa9es en gestion corporative de la tr\xc3\xa9sorerie et des liquidit\xc3\xa9s.Bilinguisme (anglais et fran\xc3\xa7ais).Habilet\xc3\xa9s \xc3\xa0 g\xc3\xa9rer des informations complexes. Grand souci de la pr\xc3\xa9cision et du d\xc3\xa9tail.Habilet\xc3\xa9s \xc3\xa0 mod\xc3\xa9liser des donn\xc3\xa9es financi\xc3\xa8res dans Excel et am\xc3\xa9liorer continuellement les rapports de gestion et les pr\xc3\xa9visions de la tr\xc3\xa9sorerie.Habilet\xc3\xa9s \xc3\xa0 construire des solides relations interpersonnelles.Excellentes habilet\xc3\xa9s en communication (oral et \xc3\xa9crit).Avoir la capacit\xc3\xa9 de prioriser et d\'ex\xc3\xa9cuter des t\xc3\xa2ches dans un \xc3\xa9ch\xc3\xa9ancier serr\xc3\xa9.Excellente ma\xc3\xaetrise d\'Excel et PowerPoint.Senior Analyst - TreasuryWelcome to MHIRJ!As a global leader in aviation, our world-class services are the backbone of airline fleets worldwide. We enable, grow, and sustain powerful connections between our customers, our people and our communities, delivering the resources and insights they need to take flight.Our offerWe offer comprehensive operational engineering and customer support solutions including maintenance, refurbishment, technical publications, marketing and sales activities for the global regional aircraft industry. Our headquarter is based in Boisbriand, Qu\xc3\xa9bec, and we are also positioned in important aviation hubs in the U.S. and Canada.The Senior Analyst - Treasury role is critical for the optimal management of the company\'s liquidity for all the legal entities of the group.The Senior Analyst - Treasury is responsible for managing the day-to-day treasury operations, cash forecast and funding. In addition, the Senior Analyst, establishes strong working relations with internal and external stakeholders and is responsible to maintain a high performance and collaborative work environment.Key Responsibilities:Reporting to the Corporate Controller and Head of Treasury, the Senior Analyst - Treasury has the following responsibilities:A) Cash forecast and liquidity management (in collaboration of the Manager, Treasury):a. Participate to the day-to-day liquidity management.b. Quarterly cash forecast and assessment between forecasted cash versus budget.c. Variance analysis on actuals versus forecast and continuous improvement of cash management and forecasted processes.d. Collaborate with the various stakeholders to generate the weekly forecast and improve the quality of data.e. Manage various treasury related reporting and analysis, including quarterly reviews and annual forecasts.B) Banking activities:a. Manage bank relationships.b. Manage FX transactions and settlement, including pricing negotiation.c. Manage banking platforms and the various modification to the users and their entitlements.d. Lead various treasury initiatives, including banking product and services:i. Bank account openingii. Signatory managementiii. Implementation of new banking services at MHIRJe. Lead the banking documentation review with legal and internal stakeholders.C) Day-to-day treasury operations:a. Manage term loans, including renewals/repayments and comply with the group requirements.b. Manage forecast preparation and upload in the ERP system to comply with term loan and cash pooling requirements.c. Prepare daily reporting (cash reporting).d. Prepare cash reconciliations (SAP vs Bank).e. Manage the platform user list and the annual review process.D) Process improvement and controls:a. Participate in developing, maintaining and improving treasury tools, procedures and policies:i. Short term cash management modelii. Cash reconciliation (SAP vs Bank)iii. Quarterly/Yearly cash flow forecastb. Responsible for the maintenance of a solid control environment on cash management.c. Act as the key Treasury contact for the company\'s projects and initiatives.d. Manage internal and external auditors\' requests for treasury.Key Requirements:University degree in Finance, Commerce or Business Administration.Professional accounting designation (e.g. CPA) is an asset.6 years of related business experience with a minimum of 3-4 years in corporate treasury and cash management.Bilingual (English and French).Ability to process complex information with accuracy and attention to detail.Ability to create models in Excel and continuously improve cash management reporting and forecasting.Ability to build effective relationships.Excellent communication skills (oral and written).Ability to prioritize and deliver under tight timelines.Advanced Excel and PowerPoint skillset.

MHI RJ Aviation

Beware of fraud agents! do not pay money to get a job

MNCJobz.com will not be responsible for any payment made to a third-party. All Terms of Use are applicable.


Related Jobs

Job Detail

  • Job Id
    JD2290421
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Boisbriand, QC, Canada
  • Education
    Not mentioned