N de ref : 122175
Position: Treasury / Hedge Accounting Manager - Derivatives experience required!
Location: Toronto (Hybrid - 3 days in office)
Job Type: Permanent
We are looking to hire a Treasury / Hedge Accounting Manager for a great investment/financial services client located in downtown Toronto. As part of the Finance Department, the Treasury/Hedge Accounting Manager, will be responsible for overseeing treasury management for both client and corporate funds, financial planning and analysis, accounting and reporting, commercial finance, and tax support across all business units and functions.
Key Responsibilities:
- Managing accuracy and timely provision of treasury accounting, external financial and regulatory reporting, and management reporting. This includes accounting and valuations for foreign exchange transactions, hedges, financial instruments and investment portfolios and preparation of treasury-related disclosures in our client's external financial statements.
- Providing clear and robust guidance to Treasury teams, Finance teams and other stakeholders on treasury accounting policies and treatments, including partnering with other finance functions when assessing complex transactions and ensuring all compliance requirements are met.
- Developing and owning treasury accounting processes and policies within the organization.
- Acting as key point of contact across the organization for all treasury accounting related matters and collaborating with internal stakeholders, including finance, tax, and legal teams, to address accounting issues and support global treasury operations.
- Conducting scenario and risk analysis and forecasting the medium and long-term accounting impact of the financial instruments portfolio on funding and exposure of the organization and escalating to appropriate management.
- Responsible for ensuring compliance with internal controls, accounting policies, and regulatory requirements.
- Designing and owning the playbook (policies) for treasury accounting architecture and accounting for treasury instruments.
- Identifying and driving opportunities for process improvements in accounting practices and reporting procedures. Implementing best practices to enhance efficiency and accuracy.
- Interacting with external auditors (financial and regulatory), as required, to help ensure they are satisfied with all reporting, compliance and control practices.
- Leading and contributing to a range of strategic group-wide projects including mergers, acquisitions, divestitures, joint ventures, and other business transactions.
Requirements:
- Expert knowledge of Treasury accounting standards and financial accounting terms
- Significant experience in a Treasury accounting role is essential, with the preference for someone who has been in a large global business or Chartered accounting firm
- Must have strong exposure to derivatives and hedge fund accounting
- Relevant Accounting qualification (CPA/ACCA/ACA or similar)
- Deep experience with IFRS (financial instruments)
- Relevant Treasury qualification (CTP/ ACT)
- US GAAP knowledge and/or FIS or other treasury systems knowledge
- Oracle fusion exposure is a strong asset
To apply, please send your resume to Vanessa Tran at . REFER A PERM HIRE AND EARN UP TO $1,000! For more details, .
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