About this role
Elevate financial strategies as an Analyst for Financial Planning and Treasury in our client’s Finance team. Focus on cash management and forecasting, ensuring robust financial analysis.As a Financial Planning Analyst, you will assist in the preparation of cash flow forecasts, support short-term investment activities, and manage corporate share documentation. Collaborate with diverse departments to conduct P&L budgeting and identify performance variances, while utilizing automation tools for reporting improvements. Your analytical skills will be essential in driving strategic financial insights.Key Responsibilities: • Assist in preparing cash flow and investment models • Monitor daily cash levels and liquidity optimization • Handle corporate share registry management and compliance • Support budgeting activities and analyze variances • Enhance FP&A processes with automation toolsRequirements: • Minimum 4 years in FP&A, AEC experience is an asset • Bachelor's degree in Finance, Business, or Economics • CPA or equivalent professional designation • Advanced Excel and financial modeling skills • Excellent analytical and problem-solving capabilitiesHelp shape financial planning and treasury strategies that contribute to the success of our client’s organization. #J-18808-Ljbffr