Job Description & How to Apply Below
Responsibilities Assist with daily cash management and liquidity reporting
Support the administration of corporate credit facilities
Prepare loan draw requests, lender reports, and compliance documentation
Build and maintain financial models, forecasts, and project pro formas
Conduct financial and profitability analysis
Assist with due diligence activities related to financing and acquisitions
Work closely with banks, legal counsel, and internal stakeholders
Support month-end, year-end, audit, and treasury reporting activities
Identify opportunities for process improvements and operational efficiencies
Qualifications Degree in Finance, Accounting, Business, Commerce, Economics, Mathematics, or a related field
1-3 years of finance, treasury, banking, accounting, or analytical experience
Strong Excel skills and comfort working with large datasets
Analytical mindset with strong problem-solving abilities
Excellent communication skills and confidence working with business leaders
Eager to learn, ask questions, and take initiative
Power BI experience is an asset
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