About this role
Senior Financial Analyst - Corporate Finance
Responsibilities:
• Deliver rigorous financial analysis and insights on enterprise-wide projects, strategic initiatives, and growth opportunities, informing senior leadership recommendations and outcomes.
• Work closely with FP&A, Corporate Development, and Accounting, Tax, Treasury, cross-functional stakeholders to Undergo financial due diligence and evaluate strategic alternatives, acquisitions, and partnerships, and assess their financial and value-creation implications
• Develop, enhance, and maintain dynamic, complex financial models that enable efficient evaluation of projects and support both recurring and ad-hoc decision-making.
• Undertake analysis on the company’s capital allocation strategy, including dividends, share repurchases, capital expenditures
• Lead analysis of Total Shareholder Return (TSR) and valuation metrics relative to peers,
• Run estimation of hurdle rates and impairment WACC, supporting long-term value assessment and investment decisions.
• Support the financial aspiration and outlook process, including scenario analysis and stress testing
• Lead macroeconomic and peer analyses to strengthen outlook projections and deepen understanding of the company’s key performance drivers.
• Build and design content for PowerPoint presentations that clearly articulate the subject and tell the story.
• Provide support as needed to the broader planning team on periodic reporting and forecasts
• Provide support for ad-hoc requests and special projects, presentation development and executive communications to the Executive Team, CFO and Board of Directors
Qualifications:
• University degree in Finance, Accounting, or a business-related discipline
• Financial designation (CA, CFA, CMA) or MBA is considered an asset
• Minimum of 4 years of progressive experience in a finance or analytical role with an emphasis on corporate finance, financial modeling, and analysis; with strong working knowledge of the financial statements (P&L, Balance Sheet, Cash Flow statements).
• Strong financial acumen, including modelling, business case development, and financial valuation
• The ability to work through ambiguous business problems with minimal direction in a fast-paced and changing environment under tight deadlines
• Superior analytical and problem-solving skills, and attention to details
• Strong executive communication/presentation skills
• Expert knowledge of Microsoft Office tools, especially PowerPoint (and Data Visualization) and Excel
• Working knowledge of software such as Bloomberg, FactSet and/or Capital IQ, Hyperion is considered an asset