Senior Treasury Accountant

JLIConsulting

$75K — $95K *
US-AnywhereRemote in Toronto, ON
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Minimum of 5 years' experience in full cycle accounting
  • CPA/CFA designation required
  • Preferred post-secondary degree in accounting or finance
  • Prior experience in cash management and cash flow forecasting
  • Highly analytical with profound attention to detail
  • Advanced proficiency in Microsoft Excel and ability to build complex models
  • Exceptional communication and interpersonal skills

Responsibilities

  • Manage and supervise all aspects of cash flows, including global forecasting
  • Anticipate cash needs and recommend strategies to VP, Finance
  • Maintain and communicate impacts of foreign exchange movements
  • Develop policies for the company's global banking structure
  • Process treasury-related journals at month-end and reconcile cash accounts
  • Manage bank and processing fee reconciliations
  • Document business processes to strengthen internal controls

Benefits

  • Flexible hours and a remote working environment
  • Four extended summer long weekends
  • Full benefits starting from the first day
  • Paid volunteer days and unlimited sick days
  • 3% RRSP matching for retirement savings
  • Monthly commuting allowance for hybrid employees
  • Flexible health spending account
  • Training budget and access to Udemy courses
  • Complimentary e-reader and weekly e-book or audiobook
  • Weekly Tech University sessions
  • Maternity/paternity leave top-up support
  • 90 Day Work from Anywhere program
  • Daily lunch credit and in-office snacks
  • Dog-friendly office environment
Full Job Description
Position: Senior Treasury Accountant

Term: Full Time

Location: Downtown Toronto/Remote/Hybrid

Industry: eCommerce Global

Job Description

The Role:

Looking for a Senior Treasury Accountant to join our Finance team! The team is an energetic and dedicated group of professionals that are highly involved in all facets of the business through the delivery of exceptional stakeholder value. Reporting to Controller, the Senior Treasury Accountant plays a vital role in overseeing treasury and supporting financial accounting functions and fiscal governance. The Senior Treasury Accountant will closely monitor cashflows across various entities and keep abreast of current market and foreign exchange trends to mitigate foreign exchange risk. Along side this oversight, the Senior Treasury Accountant will be responsible for supporting the Controller in general accounting processes, month-end close procedures, and financial reporting.

Key Responsibilities:
  • Understand, manage, and supervise all aspects of cash flows including the development and maintenance of a global cash flow forecasting model & weekly cash flow reporting
  • Anticipate cash needs and makes recommendations to VP, Finance and Controller
  • Maintain, update, and communicate impacts of foreign exchange movements & implement strategies to mitigate any FX risk leveraging hedging policy
  • Develop a strategy and corresponding policies and procedures for the companies global banking structure
  • Processing treasury related journals at month-end and reconciling all cash related accounts
  • Reconcile, validate, and manage bank and processing fees
  • Financial accounting and period end close administration as it relates to cash reporting
  • Develop and document business processes and accounting policies to maintain and strengthen internal controls
  • Manage relationships with financial service providers, and maintain all bank account documentation in accordance with corporate policies
  • Journal Entries and Critical Reconciliations are a key component of this role


Qualifications

The Person:

This person will need a keen sense of attention to detail, have great interpersonal skills, adapt, learn quickly, and be able to work under strict and tight deadlines. An eagerness to want to improve and drive results is expected. The role is an integral part of our operations, which makes the responsibilities crucial to the monthly planning, financial reporting, and fiscal governance.

The Skillset:
  • Minimum of 5 years' experience in full cycle accounting
  • CPA/CFA designation
  • Post-secondary degree in accounting, finance or equivalent preferred
  • Prior experience in cash management including cash flow forecasting
  • Highly analytical and profound attention to detail
  • Advanced proficiency in Microsoft Excel
  • Ability to build complex models in excel
  • Candidates should be professional, energetic and very detailed oriented
  • Exceptional communication skills, both verbal and written
  • Excellent interpersonal skills
  • Outstanding organizational skills and process oriented
  • SAP S/4HANA experience is an asset
  • Experience with foreign exchange hedging practices


Additional Information

The Perks:
  • Flexible hours and remote working environment
  • 4 extended summer long weekends
  • Full benefits starting from your first day
  • Paid Volunteer days, unlimited sick days, and 3% RRSP matching
  • Monthly commuting allowance for hybrid employees
  • Flexible health spending account
  • Training budget + Udemy account
  • Free e-reader + free weekly e-book or audiobook
  • Weekly company Tech University sessions
  • Maternity/paternity leave top up
  • 90 Day Work from Anywhere program
  • Daily lunch credit when in-office and in-office snacks
  • Dog friendly office

Headquartered in Toronto, one of the most advanced global ecommerce companies, with customers in 190 countries.

Products are delivered through creative innovation, award-winning eReaders, and top-ranking mobile apps.

All applicants are invited to apply. We would like to thank all applicants for their interest in this role however only qualified candidates will be shortlisted.

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