Opens an external site
- Employment type
- Full-time
- Experience level
- Mid-level · 2+ years
- Minimum education
- Professional degree
- Posting language
- English
- Working hours
- 40 hours per week
Job summary
The manager will lead debt financing, capital raising, and financial modeling initiatives to support business growth and optimize capital structure. They are also responsible for maintaining investor and banking relationships while overseeing cash flow, liquidity, and tax-efficient corporate structuring.
Job details
Charger Logistics is a leading asset-based transportation and supply chain solutions provider with operations across Canada, the United States, and Mexico. Headquartered in Brampton, Ontario, Charger has grown into a North American logistics organization offering transportation, warehousing, distribution, brokerage, and cross-border supply chain solutions. We are seeking a detail-oriented and highly organized professional to join our Finance team as a Manager of Corporate Finance- Investor Relations Responsibilities: Lead debt financing, capital raising, refinancing, and financial modeling initiatives to support business growth, acquisitions, and capital investments while optimizing the company's capital structure and financing costs. Develop and maintain strong relationships with investors, banks, lenders, and financial institutions. Lead financing negotiations, prepare investor presentations and lender reports, and identify new funding opportunities. Oversee cash flow forecasting, liquidity planning, working capital management, debt servicing, and banking operations to ensure optimal utilization of financial resources. Develop tax-efficient financing and corporate structuring strategies in Canada and the United States, working with internal teams and external advisors to identify tax-saving opportunities and ensure compliance. Monitor financial performance, debt covenants, financing agreements, and regulatory requirements while coordinating with finance and accounting teams to ensure accurate reporting and effective financial controls. Partner with senior management to evaluate investments, manage financial risks, optimize borrowing costs, identify cost-saving opportunities, and support long-term business expansion. Bachelor’s degree in Finance, Accounting, Business Administration, or a related field. 3–5 years of experience in corporate finance, investor relations, banking, treasury, or tax planning. Strong knowledge of debt financing, capital structures, financial modeling, cash flow management, and banking relationships. Understanding of Canadian and U.S. corporate tax planning and financial compliance. Excellent analytical, negotiation, communication, and relationship management skills. Proficiency in Microsoft Excel and financial reporting tools. CPA, CFA, MBA, CBV, or relevant professional designation is an asset. Experience in transportation, logistics, or other asset-intensive industries is preferred. Competitive compensation package Healthcare Benefit Package Career Growth
What you’ll do
The manager will lead debt financing, capital raising, and financial modeling initiatives to support business growth and optimize capital structure. They are also responsible for maintaining investor and banking relationships while overseeing cash flow, liquidity, and tax-efficient corporate structuring.
Requirements
Candidates must hold a bachelor's degree in Finance, Accounting, or Business Administration with 3–5 years of relevant experience. Proficiency in financial modeling, debt financing, and knowledge of Canadian and U.S. tax planning is required, with professional designations like CPA or CFA considered an asset.
Benefits
- Healthcare Benefit Package
- Career Growth
Listed skills
- Negotiation · Preferred
- Microsoft Excel · Preferred
- Financial Reporting · Preferred
Other relevant skills
Identified from the job description. Confirm important requirements above.
- Debt financing
- Capital raising
- Financial modeling
- Investor relations
- Cash flow forecasting
- Liquidity planning
- Working capital management
- Banking operations
- Corporate tax planning
- Financial compliance
- Negotiation
- Relationship management
- Microsoft Excel
- Financial reporting
- Banking Relationship Management
- Business Expansion
- Working Capital Management
- Financial Controls
- Relationship Management
- Supply Chain
- Cash Flow Management
- Planning
- Accounting
- Mergers And Acquisitions
- Financial Institution
- Banking Services
- Brokerage
- Business Administration
- Corporate Finance
- Management
- Corporate Tax
- Investments
- Capital Structures
- Cash Flow Forecasting
- Certified Public Accountant
- Chartered Financial Analyst
- Communication
- Finance
- Financial Modeling
- Financial Statements
- Financing Cost
- Investor Relations
- Market Liquidity
- Operations
- Presentations
- Refinancing
- Regulatory Requirements
- Covenants
- Tax Efficiency
- Tax Planning
Job areas
- Finance & Accounting
- Management & Leadership
- Logistics
- Transportation
- Director of Corporate Finance
- Financial Relationship Manager
- Technical and Medical Sales Professionals (excluding ICT)
- Securities, Commodities, and Financial Services Sales Agents
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