Opportunity Description
Elevate your financial expertise as a Treasury and Financial Planning Analyst in Winnipeg. Engage in budgeting, cash flow forecasting, and corporate share management to enhance financial performance.
You'll play a pivotal role in the Finance department, preparing cash flow forecasts while identifying optimized short-term investment opportunities. Close collaboration with various departments will be essential for maintaining the corporate share registry, supporting P&L budgeting, and analyzing financial performance against forecasts.
Key Responsibilities:
• Present cash flow and investment forecasts with detailed analysis
• Collaborate on managing corporate share transactions and documentation
• Support P&L budgeting and forecasting across business units
• Analyze financial results and recommend corrective actions
• Drive improvements in treasury and FP&A reporting efficiency
Requirements:
• 4+ years experience in FP&A, AEC industry preferred
• Degree in Fi...
You'll play a pivotal role in the Finance department, preparing cash flow forecasts while identifying optimized short-term investment opportunities. Close collaboration with various departments will be essential for maintaining the corporate share registry, supporting P&L budgeting, and analyzing financial performance against forecasts.
Key Responsibilities:
• Present cash flow and investment forecasts with detailed analysis
• Collaborate on managing corporate share transactions and documentation
• Support P&L budgeting and forecasting across business units
• Analyze financial results and recommend corrective actions
• Drive improvements in treasury and FP&A reporting efficiency
Requirements:
• 4+ years experience in FP&A, AEC industry preferred
• Degree in Fi...
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