A pharmaceutical manufacturing company located in Brampton is seeking a Treasury Manager to manage cash positions and develop hedging strategies. The ideal candidate has a university degree in Accounting or a related field and at least 8 years of experience, with strong analytical skills and proficiency in Excel and financial tools. This full-time role offers a hybrid work model and opportunities for growth.
Qualifications
Minimum 8 years of experience, including 3 years in a similar treasury role.
Pragmatic, hands-on thinker with strong analytical skills.
Responsibilities
Manage cash positions, forecast needs, and maximize interest yield on excess cash.
Maintain consolidated Treasury forecasts and analyze deviations from projections.
Partner with local finance teams to ensure cash and treasury meet business needs.
Identify, assess, and mitigate financial risks related to currency and interest rates.
Develop and execute hedging strategies to manage currency and interest rate exposure.
Optimize capital structure to support growth, financing activities, and compliance with covenants.
Maintain strong relationships with banks and financial partners.
Skills
Advanced English
Spanish
Portuguese
Strong analytical skills
Education
University degree in Accounting or related field
Tools
MS Office
Excel
Microsoft Dynamics
Planful
Job description
A pharmaceutical manufacturing company located in Brampton is seeking a Treasury Manager to manage cash positions and develop hedging strategies. The ideal candidate has a university degree in Accounting or a related field and at least 8 years of experience, with strong analytical skills and proficiency in Excel and financial tools. This full-time role offers a hybrid work model and opportunities for growth.