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Treasury Manager
2 weeks ago
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Pourquoi Solotech ?
Pour faire passer ta carrière au niveau supérieur. Leader mondial dans les **domaines de la solution événementielle, de l'intégration de systèmes et technologie virtuelle**, notre équipe se compose de plus de 2 000 personnes passionnées. **Notre ambition ?** Offrir des expériences spectaculaires dans le monde entier. Reconnu comme l'un des meilleurs employeurs de Montréal (2024), joins-toi à nous et fais partie d'une histoire unique qui brille depuis plus de 45 ans
**Ta journée ressemblera à ceci**:
- Optimiser la fonction de gestion de trésorerie dans un environnement mondial multidevises
- Créer et améliorer les processus et les systèmes de contrôle pour fournir une efficacité opérationnelle, une précision et un aperçu du rendement de la trésorerie et de la gestion de la trésorerie
- Gérer les comptes bancaires et la documentation bancaire connexe dans l'ensemble de l'organisation dans différentes régions géographiques
- Gérer l'émission et la maintenance des programmes de cartes de crédit d'entreprise
- Préparer des rapports hebdomadaires sur la situation de trésorerie et de liquidité avec des explications sur les écarts par rapport au budget ou aux prévisions
- Préparer des rapports de prévision de trésorerie continus en coordination avec divers départements (équipes de fiscalité, de l'approvisionnement, des affaires juridiques et des finances)
- Préparer plans de facilités de crédit et des programmes de remboursement au besoin pour assurer un financement adéquat des opérations et un solde optimal de la dette
- Surveiller le respect des clauses restrictives de la dette et préparer des certificats de conformité aux fins des engagements
- S'associer aux comptes payables pour faciliter l’exécution du paiement des fournisseurs
- Surveiller les frais bancaires, les frais d'intérêt et autres frais financiers et mettre en œuvre des initiatives pour réduire les coûts bancaires
- Diriger des projets ou des initiatives de trésorerie et effectuer des tâches connexes pour assurer une gestion optimale du rendement de la trésorerie.
**Ton Profil**
- Baccalauréat en finance ou dans un domaine connexe. Le titre de CPA comptable professionnel et/ou le titre de CFA ou CTA sont un atout.
- Minimum 5-8 ans d'expérience dans la finance d'entreprise, et les fonctions de trésorerie dans un environnement mondial multi-devises.
- Rigoureux et soucieux du détail.
- Autonome et ingénieux dans la recherche et la mise en œuvre de solutions.
- Capacité à établir des priorités et à travailler sous un niveau élevé de pression
- Confortable avec le multitâche.
- Entièrement bilingue (français, anglais).
- Connaissance approfondie des principes de gestion de trésorerie et des systèmes et processus bancaires
- Expérience dans l'analyse et de la mise en œuvre de procédures et de contrôles internes.
- Très analytique et avec des compétences avancées en modélisation financière.
- Fait preuve d'intégrité
**Notre offre pour toi**:
- Rémunération compétitive et régime d'assurance collective
- REER collectif avec cotisation de l’employeur
- Possibilités de formation et d'avancement de carrière
- Remboursement des frais professionnels et de développement
- Programme d'assistance aux employés (PAE) pour assurer leur santé et leur bien-être.
**Dans le présent document, le genre masculin est utilisé au sens neutre et désigne les femmes autant que les hommes.
- Agencies: kindly refer to our website on how to proceed._
Why Solotech?
To take your career to the next level As a global leader in **live productions, systems integration and virtual technology**, our team is comprised of more than 2,000 passionate individuals. **Our ambition?** To deliver spectacular experiences worldwide. Recognized as one of Montreal's Top Employers (2023), join us and become part of a unique story that has been shining for over 45 years
**Your day will look like this**:
- Optimize cash management function in a global multi-currency environment
- Create and improve processes and control systems to provide operational efficiency, accuracy and insight into treasury and cash management performance
- Manage bank accounts and related banking documentation across the entire organization in different geographical regions
- Manage issuance and maintenance of corporate credit card programs
- Prepare weekly cash/liquidity position reports with explanations of variances vs budget/forecasts
- Prepare rolling cash forecast reports through coordination with various departments (tax, procurement, legal and finance teams)
- Prepare credit facility drawings and repayments as necessary to ensure adequate funding of operations and optimal debt balance
- Monitor compliance with debt covenants and prepare compliance certificates for covenant purposes
- Partner with AP to facilitate vendor payment runs
- Monitor bank fees, interest costs and other financial charges and implement initiatives to reduce banking costs
- Lead treasury projects or initiatives an