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public accountants chief

RONA

Boucherville

On-site

CAD 80,000 - 100,000

Full time

19 days ago

Job summary

A leading home improvement retailer in Boucherville, QC is seeking a Manager, Financial Modeling Expert to oversee financial forecasting and cash flow models. The ideal candidate will have at least 7 years of experience in finance, a CPA/CFA designation, and advanced skills in Excel. This full-time role offers a chance to contribute significantly to financial strategies within a collaborative team environment.

Qualifications

  • At least 7 years experience in accounting/finance/treasury.
  • At least 2 years in financial modelling.
  • Proven ability to distill complex financial data.

Responsibilities

  • Build a monthly cash flow forecasting model.
  • Manage cash flow forecast models.
  • Support the treasurer in financial analyses and presentations.

Skills

Advanced proficiency in Excel
Strong analytical skills
Excellent communication skills in English and French
Attention to detail
Experience in financial modelling

Education

CPA/CFA designation or equivalent

Tools

IBM Planning Analytics (TM1)
Oracle Cloud

Job description

Title posted on Jobillico - Manager, Financial Modeling Expert

Posted onJuly 25, 2025 by Employer details RONA

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public accountants chief

Title posted on Jobillico - Manager, Financial Modeling Expert

Posted onJuly 25, 2025 by Employer details RONA

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Job details

At RONA, our employees let their passion blossom every day. Our teams are driven by the desire to help people bring their projects to life and are committed to making a difference in the communities we serve.

We operate or service corporate and affiliated dealer stores. With a distinctive product and service offering and complementary store formats ranging from neighbourhood hardware stores to big box stores, our RONA+, RONA and Dick?s Lumber banners are well equipped to help meet the needs of all DIYers and contractors.

You?ve got the talent? We?ve got the tools! Here, your work and ideas will contribute to building a flourishing organization. Your voice will always be heard and valued. You?ll find career opportunities that live up to your ambitions and be able to further develop your unique set of skills.

So, if you?re looking to do what you love, we could be a perfect match.

Our expectations

You?re a seasoned analyst who excels at modelling financial forecast scenarios and boasts extensive expertise with Excel and PowerPoint. You also appreciate the opportunity to present your analyses to management and shareholders. If you?re looking for a strategic role under the supervision of the VP, Treasurer, this job is for you!

You?ll help build a better integrated cash flow model that combines income statement and balance sheet data. You will also play a role in translating complex data into clear and actionable insights. You?ll work closely with several internal collaborators, with the support or external consultants, to bring this project to fruition. Through the expertise you develop by building this model, you'll become an expert at assessing and analyzing scenarios, as well as presenting them to management.

Your role

  • Build a monthly cash flow forecasting model that combines balance sheet and income statement data.

  • Improve and simplify the weekly cash flow model.

  • Manage cash flow forecast models and perform comparative variance analysis with actual results.

  • Partner with FP&A teams, accounting and operations to ensure financial alignment.

  • Support the treasurer in preparing various financial analyses and presentations to banking partners, the Board of Directors, shareholders and Rona management.

  • Collaborate with other members of the treasury team and take part in managing the following functions:

    • Cash management

    • Debt management

    • Currency and interest rate management

    • Monitoring certain financial ratios and liabilities with our creditors.

    • Completing various management reports.

  • Perform other related tasks.

The skills we?re looking for

  • At least seven (7) years? experience in accounting/finance/treasury, including at least two (2) in financial modelling.

  • CPA/CFA designation or other equivalent certification or relevant experience.

  • Experience in a corporate/head office FP&A function with exposure to executive-level reporting is an asset.

  • Advanced proficiency in Excel and Power Point, including complex formulas.

  • Strong analytical and problem-solving skills

  • Proven ability to distill complex financial data into clear, concise insights for senior leadership

  • Excellente communication and presentation skills en anglais et en français

  • Ability to work independently and as part of a team

  • Attention to detail and a high level of accuracy

  • Experience with financial planning software and ERP systems such as IBM Planning Analytics (TM1), Oracle Cloud is an asset.

  • <
    • Location Boucherville , QC
    • Workplace information On site
    • Salary Not available
    • Terms of employment Permanent employment Full time
    • Starts as soon as possible
    • vacancies 1 vacancy
    • Source Jobillico #16036120
    • Boucherville, QC
    View the full job posting on Jobillico
    Advertised until

    2025-08-23

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