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Corporate Finance Analyst

2 months ago


Montreal, Quebec, Canada CB Canada Full time
About the Role

We are seeking a highly skilled Corporate Finance Analyst to join our team at CB Canada. As a key member of our finance department, you will play a critical role in supporting the management of our company's financial resources, debt, and treasury operations.

Key Responsibilities
  • Manage and optimize our company's cash flow in collaboration with our accounting team.
  • Oversee our debt, financial commitments, and relationships with lenders, providing them with necessary financial information as per our contracts.
  • Ensure our financial models for operational sites are up-to-date.
  • Participate actively in the budgeting process and prepare monthly, quarterly, and annual financial and operational reports.
  • Prepare presentations and other communication tools for internal and external stakeholders, including financial reports related to major project investments.
  • Gather necessary data and prepare financial and operational information summaries for our companies and the industry.
  • Support the due diligence process, opportunity assessment, and execution of financing transactions.
  • Assist in building financial models for development projects and acquisitions.
  • Manage multiple projects simultaneously and work efficiently individually or as part of a team.
  • Handle other projects/mandates for our Director of Finance and Chief Financial Officer.
Requirements
  • Bachelor's degree in Business Administration/Commerce, Finance, or Accounting.
  • A minimum of two (2) years of experience in corporate finance, treasury, or practical experience with mergers and acquisitions and capital raising processes.
  • Proficiency and dexterity in Excel and PowerPoint software.
  • Financial modeling skills.
  • Excellent interpersonal and communication skills.
  • Ability to work with personnel at all levels on sites, at headquarters, and with financial institution representatives.
  • Bilingualism is essential.