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Director of Finance - Treasury and Cash Management

IFG International Financial Group Ltd

South Frontenac

On-site

CAD 120,000 - 160,000

Full time

18 days ago

Job summary

A leading financial services firm is seeking a seasoned Director of Treasury and Cash Management in South Frontenac, Ontario. This pivotal role involves leading treasury operations, managing cash flow, and developing financing strategies. The ideal candidate will have over 10 years of experience in treasury management and strong leadership skills. This position offers a hybrid work environment, requiring two days a week in office. Interested candidates should submit their resume to the provided email.

Qualifications

  • 10+ years of progressive experience in Treasury and Cash Management.
  • Experience building and scaling operations in a large organization.
  • Strong expertise in cash forecasting and financing strategies.

Responsibilities

  • Lead the Treasury function and establish effective cash management processes.
  • Develop best practices to optimize liquidity and ensure compliance.
  • Create cash forecasting models and prepare performance reports.

Skills

Cash forecasting
Liquidity management
Financing strategies
Leadership skills
Analytical skills

Education

Bachelor's degree in Finance, Accounting, or related field
MBA or CFA preferred
Job description

We are seeking a seasoned and strategic Director of Treasury and Cash Management to lead and establish best-in-class treasury operations for our growing organization. This role will be pivotal in building out robust cash management processes, implementing forecasting models, and driving strategic financing decisions to support the operational and financial objectives of the company.

This role is hybrid 2 days a week in office.

The Key Responsibilities include the following;

  • Treasury Operations Development:
  • Build and oversee the company's Treasury function, including establishing policies, processes, and tools for effective cash management
  • Develop and document best practices to optimize liquidity, minimize risk, and ensure compliance with regulatory requirements
Cash Management: Design and implement processes to manage cash flow effectively across multiple business units Oversee banking relationships and ensure efficient account structures and payment systems Cash Forecasting and Reporting: Create and maintain detailed cash forecasting models to provide visibility into liquidity needs Prepare regular reports and insights on cash flow performance, variances, and strategic recommendations Financing Strategy: Analyze and make recommendations for short-term and long-term financing strategies Evaluate and manage debt facilities to ensure alignment with the company's financial goals Risk Management: Identify and mitigate financial risks, including currency, interest rate, and liquidity risks Ensure compliance with internal controls and external regulatory requirements Leadership and Collaboration: Lead, mentor, and develop a high-performing Treasury team Partner with cross-functional teams, including Finance, Accounting, and Operations, to align Treasury goals with overall business objectives To be considered for this role, our client is looking for someone with the following skills/qualifications;
  • Bachelor's degree in Finance, Accounting, or a related field (MBA or CFA preferred)
  • 10+ years of progressive experience in Treasury and Cash Management, with a focus on building and scaling operations in a large organization
  • Strong expertise in cash forecasting, liquidity management, and financing strategies
  • Proven track record of leading complex projects and implementing treasury systems or processes
  • Excellent analytical, communication, and leadership skills
  • Experience in the technology sector or high-growth industries is a plus
If you are qualified and interested in this position please send your updated resume in MS Word to Anojiha Kirupananthan at Anojiha@ifgpr.com in word today.

For other opportunities please visit www.ifg-global.com.
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