Treasury & Investor Relations Specialist

Vancouver International Airport

Vancouver

On-site

CAD 85,156 - 111,294

Full time

14 days+
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Benefits offered by this job

Generous vacation days
Extensive health benefits
Retirement savings matching
Wellness programs
Continuous learning opportunities

Job summary

Vancouver International Airport is seeking a Treasury & Investor Relations Specialist to join the Corporate Finance Department. This full-time position involves delivering financial analysis and insights to support financial planning, managing relationships with investors, and preparing analytical materials for stakeholder communications. A degree in Finance or a related field is required, along with 7 years of Corporate Treasury experience. The position offers a salary range of $85,156 to $111,294, along with generous benefits and a supportive work culture.

Qualifications

  • 7 years of Corporate Treasury experience in progressively responsible positions.
  • Professional designation CFA, CPA, CTP would be considered an asset.
  • Experience in debt issuance, cash flow management, and financial risk management.
  • Excellent verbal and written communication skills.

Responsibilities

  • Prepare financial materials for leadership communications with external stakeholders.
  • Assist with debt management and cash flow forecasting.
  • Prepare analytical materials for loan agreements and credit facility renewals.
  • Monitor interest rate risk and track industry benchmarks.

Skills

Corporate Treasury experience
Financial analysis and modelling
Strong communication skills
Knowledge of capital structure
Ability to work in fast-paced environments

Education

Degree in Finance, Accounting, Economics, Commerce, Business or Science

Tools

Financial analysis software

Job description

Treasury & Investor Relations Specialist

Position overview

We have a full-time, permanent opportunity for a Treasury & Investor Relations Specialist in the Corporate Finance Department. Reporting to the Director, Corporate Finance, the successful candidate will deliver financial analysis, modelling, and data-driven insights to support short- and long-term financial planning, including work related to funding approaches and capital considerations, aligned with established organizational strategies and governance frameworks. The role also supports relationships with investors and other financial stakeholders.

Key responsibilities include:
  • Prepare financial materials, reporting, and analytical support to assist leadership communications with external stakeholders such as investors, rating agencies, and financial institutions, contributing to transparency, consistency, and informed decision-making.
  • Prepare cash flow forecasts and analyse short-term and long-term funding requirements.
  • Assist with debt management, including assessing the organization's financing needs (short- vs long-term), evaluating cost of borrowing and financing alternatives, and providing analysis to align debt considerations with the company's growth and investment plans.
  • Prepare analytical materials and options for the negotiation of loan agreements and the renewal or extension of credit facilities.
  • Monitor interest rate and financing risk, and track industry benchmarks.
  • Support relationship management with key bondholders and investors.
Key qualifications include:
  • 7 years of Corporate Treasury experience in progressively responsible positions, (cashflow forecasting, financial planning, managing debt issuance and repayment, refinancing or restructuring financing arrangements), supplemented by a degree in Finance, Accounting, Economics, Commerce, Business or Science; or an equivalent combination of training and experience.
  • Professional designation CFA, CPA, CTP would be considered an asset.
  • Knowledge of capital structure, cost of capital, cash flow management and forecasting, debt financing and capital markets, financial markets, financial risk management.
  • Advanced financial analysis and modelling skills. Ability to present complex financial information clearly, strong communication and presentation skills to be able to effectively communicate with investors, analysts, executives, and deliver presentations at investor meetings.
  • Experience working in fast paced environment with multiple competing priorities.
  • Excellent communication skills, both verbal and written.

Although not required, French language skills are an asset as we are committed to providing bilingual services to our visitors and passengers. This helps us meet federal language obligations while ensuring welcoming experience. Candidates who do not speak French are still strongly encouraged to apply.

This position is open to both Vancouver Airport Authority employees & external candidates. Previous job performance will be taken into consideration for all internal candidates that apply for this position.

Salary Range:

Band 8: $85,156 to $111,294 per annum, based on a 37.5-hour work week. This is individually tailored to reflect your unique experience, qualifications and internal equity.

At YVR, your work experience goes beyond the paycheck. We support your personal and professional development, well-being, and a thriving work culture with generous vacation days, extensive health benefits, retirement savings matching, wellness programs, community engagement, commuting support, and continuous learning opportunities. Learn more at https://careers.yvr.ca/benefits

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