Permanent Full Time
The Corporate Finance & Treasury team prepares quarterly reporting and provides research and analysis to senior executive in support of the Company's capital planning and mergers & acquisition initiatives. Working closely with other key global business areas, this is your opportunity to be a part of a small and dynamic team. This role reports to the Director, Corporate Finance & Treasury and partners with the Corporate Finance & Treasury team. The successful candidate will be required to work flexible hours as the work dictates. There is potential to expand the role's scope as per the candidate's qualifications and experience.
What you will do
Manage and prepare quarterly and year end Corporate Finance reporting to senior management and the Board of Directors
Provide research and analysis to senior executives in support of the Company's business initiatives and objectives
Work and coordinate with global finance teams on various projects including internal and external business valuations, global mergers and acquisitions, internal reorganizations and impairment testing
Prepare concise presentations for senior leadership and the Board of Directors
Undertake capital planning analysis and manage administration associated with the issuance and redemption of capital securities and dividend recommendations
Oversee and conduct industry research and competitor analysis for both domestic and international companies
Develop and update financial models as needed and provide additional support for other Corporate Finance & Treasury projects as required
The role may also support and be involved with the Company's interactions with external parties such as banks, rating agencies, research analysts, and shareholders
What you will bring
Business related post secondary degree or combination of education and directly related experience
CFA or CBV preferred; other professional designations are considered assets (CPA, MBA): this is not a traditional accounting role but a CPA with a willingness to learn would be strongly considered
Five or more years of related experience with progressive growth of accountabilities
Proficiency with Microsoft Excel, PowerPoint and Word
Experience developing financial models and compiling and synthesizing company & market data
Ability to actively adapt to changing business models and new technologies
Excellent analytical skills including financial analysis, research and complex modeling
Self-starter with ability to take initiative and work both independently and as part of a team.
Superior communication (written and oral) with experience preparing concise presentations for senior leadership
Ability to develop and maintain strong collaborative partnerships across the organization
Strong attention to detail with the ability to produce high quality work within short timelines
Working knowledge of Bloomberg and Capital IQ is an asset
Given the size and scope of our organization, we have the flexibility for this position to be located in the following head office locations: Toronto or Winnipeg.
The base salary for this position is between
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