Finance FP&A Manager, TBSM & Liquidity

TD Bank Group

Toronto

On-site

CAD 97,000 - 137,000

Full time

14 days+

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Job summary

TD Bank Group's Treasury and Balance Sheet Management FP&A team in Toronto seeks a finance professional to lead monthly P&L reporting, forecast accuracy and management commentary for the Corporate Segment. The role offers significant interaction with cross-functional partners and senior stakeholders.

You will drive scenario analyses, maintain robust forecasting processes and ensure clear, executive-ready communication while upholding strong controls and governance in a fast-paced environment.

Qualifications

  • Undergraduate degree in Finance, Accounting, Economics, Business, Commerce or a related discipline.
  • CPA, CFA, MBA or progress toward a relevant professional designation would be considered an asset.
  • Strong interest in Treasury, balance sheet management, FP&A, financial reporting and management reporting.

Responsibilities

  • Progressive experience in Finance, FP&A, financial reporting, management reporting, forecasting, planning, Treasury Finance, banking or related analytical roles.
  • Experience leading or owning recurring monthly or quarterly Finance deliverables, including review of complex reporting files and preparation of management commentary.
  • Experience working with senior stakeholders and cross-functional partners in a deadline-driven environment.
  • Knowledge of TBSM, FTP, liquidity, capital, hedging, investments or banking products would be an asset.
  • Experience coaching analysts, reviewing work, improving processes or leading small workstreams would be considered an asset.

Education

Undergraduate degree in Finance, Accounting, Economics, Business, Commerce or a related discipline
CPA, CFA, MBA or progress toward a relevant professional designation would be considered an asset

Job description

TD Bank Group's Treasury and Balance Sheet Management FP&A team in Toronto seeks a finance professional to lead monthly P&L reporting, forecast accuracy and management commentary for the Corporate Segment. The role offers significant interaction with cross-functional partners and senior stakeholders.

You will drive scenario analyses, maintain robust forecasting processes and ensure clear, executive-ready communication while upholding strong controls and governance in a fast-paced environment.

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