Cash Management Supervisor

Robert Half

Job title:

Cash Management Supervisor

Company

Robert Half

Job description

Job Description:We are offering an exciting opportunity with a global distribution company based in the West GTA. We are in search of a Cash Management Supervisor to join our team. As a Cash Management Supervisor, you will be tasked with managing cash and treasury duties for a company with multiple locations across Canada. You will manage the company’s cash transactions and provide cash flow forecasting for Senior Management. This position is hybrid and requires 2-3 days/week in the office.Responsibilities

  • Manage the company’s cash flow position and provide Senior Leadership with reporting on daily, weekly and monthly cash positions and cash flow forecasts
  • Reviewing and accounting for treasury-related month-end journal entries, including bank fees, FX gains/losses, and interest accruals
  • Ensuring adherence to SOX controls and internal group policies
  • Conducting monthly reconciliation and accounting for assigned bank accounts
  • Assisting in preparing month-end and quarter-end management reporting and analysis
  • Administering bank account duties such as updating authorized signatory lists, reviewing and maintaining user access permissions within banking portals, and opening/closing bank accounts
  • Maintaining sufficient bank balances to fulfill our cash obligations in multiple currencies
  • Communicating effectively with various internal and external stakeholders, including senior leadership
  • Assisting with the development of Standard Operating Procedures (SOPs) for accounting tasks for cross-training or new hires
  • Recommending, implementing, and maintaining process improvements to enhance treasury processes
  • Providing ad-hoc support for various projects and initiatives.

Requirements:

  • Bachelor Degree in Accounting, Business or Commerce.
  • 4+ years of cash management/treasury experience.
  • Strong skills in Cash Flow Analysis, able to interpret and understand complex financial data.
  • Ability to conduct accurate Cash Flow Forecasts and manage Cash Flow effectively.
  • Proficient in Cash Flow Modeling, with the ability to create accurate financial models.
  • Experience in preparing and interpreting Cash Flow Statements.
  • Exposure to FX (foreign exchange, hedging, etc.).
  • Strong ERP experience (Oracle, SAP, etc.) and advanced Excel skills
  • Blackline is an asset

Expected salary

$85000 – 90000 per year

Location

Burlington, ON

Job date

Sun, 01 Dec 2024 01:09:30 GMT

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