Senior Financial Analyst
About the role
The Opportunity
Our client, a high-growth global organization, is seeking a Senior Financial Analyst, FP&A & Treasury to join its dynamic finance team. In this role, you’ll play a key part in driving financial planning and treasury operations across the organization. You’ll act as a trusted advisor to leadership by delivering high-impact financial analysis, improving forecasting processes, and enhancing visibility into cash flow and liquidity. This opportunity is ideal for someone who excels at turning complex data into meaningful insights and thrives in a fast-paced, evolving environment. You’ll work across business functions and geographies to support strategic decisions, optimize financial performance, and enhance treasury operations.
What You’ll Be Doing
- Lead the development and maintenance of consolidated financial statements and cash flow forecasts across short-, medium-, and long-term planning cycles.
- Partner with business and operational teams to develop budgets, monitor performance, and support KPI tracking.
- Consolidate and analyze financial results with clear variance commentary and insight for leadership and external stakeholders.
- Build robust financial models, perform scenario planning, and support budgeting and strategic initiatives, including M&A.
- Identify and implement process improvements in FP&A, including financial systems and reporting automation.
- Support day-to-day treasury operations, including global cash flow forecasting and reporting of key liquidity metrics.
- Analyze global cash positions and liquidity to enable effective decision-making across business units.
- Assist in ongoing treasury automation initiatives and enhancement of reporting tools.
- Provide ad-hoc financial analysis and support to the broader finance team, including reporting packages for executives, board materials, and investor presentations.
- Support transaction-related analysis and audit preparation as needed.
What You Bring
- 4–6 years of progressive finance experience, ideally with a focus on FP&A and exposure to treasury functions.
- Must have or be in pursuit of an Accounting/Financial Professional Designation (CPA Canada or CFA) required.
- Advanced Excel and financial modeling expertise; experience with FP&A systems is an asset.
- Strong communication skills with the ability to influence and present to senior leaders.
- Highly analytical, detail-oriented, and comfortable working in a fast-paced, growing environment.
- Experience working in a global, multi-entity environment is considered a strong asset.
- Willingness and ability to travel as required (domestic and international, including the U.S.).
Next Steps
We appreciate your interest in this opportunity. Selected candidates will be contacted by email and text to arrange a phone interview.
Clarity Recruitment is committed to diversity, equity, and inclusion in the hiring process. Accommodations are available upon request for candidates taking part in all aspects of the selection process.
To learn more about how Clarity builds better finance & accounting teams for high-growth organizations, visit findingclarity.ca .
JOB ID #3321880
About Clarity Recruitment
Accelerated hiring for Finance, Accounting and Data Analytics
Clarity is a contract and direct hire recruitment firm for companies experiencing rapid growth or transformation. Our approach has always been human-centric to build quality and trust blended with innovative hiring technology to enable speed and delivery. We help companies hire leaders and build their teams in Finance, Accounting and Data Analytics. We'd love to show you how.
Senior Financial Analyst
About the role
The Opportunity
Our client, a high-growth global organization, is seeking a Senior Financial Analyst, FP&A & Treasury to join its dynamic finance team. In this role, you’ll play a key part in driving financial planning and treasury operations across the organization. You’ll act as a trusted advisor to leadership by delivering high-impact financial analysis, improving forecasting processes, and enhancing visibility into cash flow and liquidity. This opportunity is ideal for someone who excels at turning complex data into meaningful insights and thrives in a fast-paced, evolving environment. You’ll work across business functions and geographies to support strategic decisions, optimize financial performance, and enhance treasury operations.
What You’ll Be Doing
- Lead the development and maintenance of consolidated financial statements and cash flow forecasts across short-, medium-, and long-term planning cycles.
- Partner with business and operational teams to develop budgets, monitor performance, and support KPI tracking.
- Consolidate and analyze financial results with clear variance commentary and insight for leadership and external stakeholders.
- Build robust financial models, perform scenario planning, and support budgeting and strategic initiatives, including M&A.
- Identify and implement process improvements in FP&A, including financial systems and reporting automation.
- Support day-to-day treasury operations, including global cash flow forecasting and reporting of key liquidity metrics.
- Analyze global cash positions and liquidity to enable effective decision-making across business units.
- Assist in ongoing treasury automation initiatives and enhancement of reporting tools.
- Provide ad-hoc financial analysis and support to the broader finance team, including reporting packages for executives, board materials, and investor presentations.
- Support transaction-related analysis and audit preparation as needed.
What You Bring
- 4–6 years of progressive finance experience, ideally with a focus on FP&A and exposure to treasury functions.
- Must have or be in pursuit of an Accounting/Financial Professional Designation (CPA Canada or CFA) required.
- Advanced Excel and financial modeling expertise; experience with FP&A systems is an asset.
- Strong communication skills with the ability to influence and present to senior leaders.
- Highly analytical, detail-oriented, and comfortable working in a fast-paced, growing environment.
- Experience working in a global, multi-entity environment is considered a strong asset.
- Willingness and ability to travel as required (domestic and international, including the U.S.).
Next Steps
We appreciate your interest in this opportunity. Selected candidates will be contacted by email and text to arrange a phone interview.
Clarity Recruitment is committed to diversity, equity, and inclusion in the hiring process. Accommodations are available upon request for candidates taking part in all aspects of the selection process.
To learn more about how Clarity builds better finance & accounting teams for high-growth organizations, visit findingclarity.ca .
JOB ID #3321880
About Clarity Recruitment
Accelerated hiring for Finance, Accounting and Data Analytics
Clarity is a contract and direct hire recruitment firm for companies experiencing rapid growth or transformation. Our approach has always been human-centric to build quality and trust blended with innovative hiring technology to enable speed and delivery. We help companies hire leaders and build their teams in Finance, Accounting and Data Analytics. We'd love to show you how.