Cash Management Treasury Analyst

4 weeks ago


Guelph ON, Canada 3 Step Recruitment Inc. Full time

Reporting to the Treasury Manager, the Senior Treasury Analyst role will be an integral part of the treasury team, playing a key role supporting and developing the Company's global cash, debt, and derivative reporting requirements within North America, LATAM, Asia and Europe.
Responsiblities
Evaluate financial risks, prepare financial forecasts, financing scenarios and other documents concerning capital management, and write reports and recommendations
Plan short- and long-term cash flows and assess financial performance
Analyze investment projects
Develop and manage the cash forecasting process in order to determine the optimal short- and long-term debt/borrowing requirements
Preparation of the quarter-end public disclosures on bank covenants, financial instruments, long-term debt, and interest expense
Manage the monthly process to ensure that adjustments made throughout the month for related to Linamar's global debt is accurately tracked and coordinate the statement process with the Consolidations team
Become the subject management expert (SME) on the Company's Treasury & Risk Workstation Reval, developing a deep understanding of the systems derivative, cash management and hedge accounting capabilities
Prepare the month-end reporting package for derivative MTM, hedge accounting, debt, and inter-company loans
Reviewing terms and conditions of Letters of Credits and Bank Guarantees
Become a key contact within the Treasury Department providing support to various internal stakeholders related to banking
Ad Hoc projects as assigned within the group
Requirements:
A degree or diploma in Finance or Business or a related discipline
CPA Designation is a must
Preference will be given to candidates that have or are pursuing CFA or CTP certifications
Experience with Treasury Workstations are an asset
Three to five years of experience working in Treasury
Knowledge of banking/Treasury in a domestic and global environment
Knowledge of financial instruments, pricing behavior and an understanding of domestic/global economics
Must have strong technical and analytical excel and coding skills
Ability to work in a fully computerized environment including advanced Excel and Word skills, knowledge of Excel, AS400, SAP BPC, OneStream, IFS systems is an asset
Knowledge and experience with IFRS and hedge accounting would be an asset
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