Job Description & How to Apply Below
Working under the Corporate Finance Department, this role supports key activities such as debt management, liquidity analysis, and capital planning. The successful candidate will prepare analytical materials for executives and manage investor relations through comprehensive communications and presentations. This position is crucial for ensuring effective financing activities and credit rating assessments.
Key Responsibilities:
• Evaluate funding requirements and financing transactions
• Prepare cash flow forecasts and perform liquidity analysis
• Generate financial reports and disclosure materials
• Prepare materials for investor meetings
• Assist with annual credit rating reviews
Requirements:
• 7 years of relevant Corporate Treasury experience
• Degree in Finance, Accounting, or related
• CFA, CPA, or equivalent preferred
• Advanced financial modeling and analysis skills
• Strong communication abilities, both written and verbal
Be essential to YVR's financial leadership, enhancing treasury operations and investor relations.
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