Senior Finance Manager (treasury, Cash Mgmt. Exp. Cpa)

Toronto, ON, Canada

Job Description


One of our banking clients is looking for a Senior Finance Manager (Treasury, Cash mgmt. Exp. CPA)
Length: 12 months contract with a possibility of extension
Working hours- 9:00 am - 5:00 pm (Hybrid)
Work Location- Toronto, ON (Hybrid)

ROLE MANDATE:
Applies expertise and provides advice in calculation, analysis, and reporting of financial results in compliance with applicable standards and regulatory requirements. Works across the bank to deliver accounting program / process results aligned with overall group goals. Reviews and/or personally delivers some accounting services and processing activities. Supports an efficient and effective accounting function that uses common information sources and practices, reduces ongoing costs, and increases service level performance.

ROLE RESPONSIBILITIES INCLUDE (but are not limited to):

  • Builds interdependent teams that collaborate across functional and operating groups to create the highest value for all stakeholders.
  • Acts as a subject matter expert on relevant regulations and policies.
  • May network with industry contacts to gain competitive insights and best practices.
  • Manages resources and leads the execution of accounting, risk and regulatory related strategic initiatives to deliver business and financial goals.
  • Acts as the prime subject matter expert for internal/external stakeholders
  • Leads the execution of accounting programs; assesses and adapts as needed to ensure quality of execution.
  • Executes work to deliver timely, accurate, and relevant information and reporting of group, legal entity, and reportable segments results for management and statutory reporting.
  • Provides input into the planning and implementation of financial programs to manage the fiscal period close processes.
  • Works in conjunction with others to ensure sign-off and attest to reported financial results.
  • Analyses data and information to provide financial performance insights and recommendations for consolidated business financial statements
  • Monitors and tracks financial information compliance with standards and regulations and addresses any issues.
  • Provides information and supports the process for internal (e.g., corporate, SOX) and external audits.
  • Integrates information from multiple sources to enable more efficient processes, enhanced analysis, and/or streamlined reporting.
  • Designs and produces regular and ad-hoc reports and dashboards.
  • Builds effective relationships with internal/external stakeholders across functional disciplines.
  • Acts as liaison between stakeholders to align agendas and ensure a clear contextual understanding of the business needs.
  • Supports development and execution of accounting, risk, and regulatory strategic initiatives in collaboration with internal and external stakeholders.
  • Liaises with internal and external auditors and regulators to provide necessary information to support arising issues and responses to questions.
  • Acts as a trusted advisor to assigned business/group to interpret accounting changes identified by the Chief Accountants\' Group; assesses impacts on financial results and reporting requirements; supports the implementation of applicable process and control change requirements.
  • Assists in the development of strategic plans to manage and execute the reporting / accounting needs and support business objectives.
  • Participates in the design, implementation, and management of core business, group, legal entity financial processes, reporting, systems, and controls to improve the quality and effectiveness of financial information and management of risks.
  • Operates at a group/enterprise-wide level and serves as a specialist resource to senior leaders and stakeholders.
  • Applies expertise and thinks creatively to address unique or ambiguous situations and to find solutions to problems that can be complex and non-routine.
  • Implements changes in response to shifting trends.
  • Broader work or accountabilities may be assigned as needed.
MUST-HAVE SKILLS:
  • Typically, 7+ years of relevant experience and post-secondary degree in related field of study or an equivalent combination of education and experience.
  • Professional accounting designation is preferred.
  • Seasoned professional with a combination of education, experience and industry knowledge.
  • Verbal & written communication skills - In-depth / Expert.
  • Analytical and problem-solving skill - In-depth / Expert.
  • Data driven decision making - In-depth / Expert
  • Prior treasury experience or cash mgmt. operations
URGENT: Please read the job description above. If this interests you, apply to the job with your most updated resume, including your contact number and email address.

The recruiter in charge of this role is Prakash.

If you do not think you are a match for this opportunity, but know someone who is, feel free to forward this job description to them and you will be eligible for a referral bonus upon a success

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ful hire.

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Job Detail

  • Job Id
    JD2174432
  • Industry
    Not mentioned
  • Total Positions
    1
  • Job Type:
    Full Time
  • Salary:
    Not mentioned
  • Employment Status
    Permanent
  • Job Location
    Toronto, ON, Canada
  • Education
    Not mentioned