Senior Financial Analyst
Top Benefits
About the role
About the Role
Our client is a fast-growing, private equity-backed healthcare organization, and they're looking for a Senior Financial Analyst to join their lean, high-impact finance team. This is not a back-office role. You'll sit close to senior leadership, own meaningful work streams across treasury, liquidity, and FP&A, and see your analysis show up directly in board decisions, capital allocation, and growth strategy.
If you want broad exposure such as cash management one day, building a board deck the next, modelling an acquisition the day after. They are looking for someone that thrives with autonomy in a fast-moving environment, and if you think thats you- this role will accelerate your career.
What You'll Own Treasury & Cash Management
Run day-to-day treasury operations: intercompany funding and cash sweeps, debt and interest payments, banking relationships and account administration, corporate credit card platforms, and merchant processing support. Manage FX transactions and funding requirements for our cross-border operations.
Liquidity & Cash Flow Own and continuously enhance our 13-week and 1-year rolling cash flow models, ensuring we're optimizing financing options, building strategic reserves, and prepared for major operational variables. Monitor and optimize the company's liquidity position, analyzing cash flow drivers to support both operational needs and strategic initiatives. Build out our Cash Reporting & Liquidity Metrics Dashboard (DIO, DSO, DPO, CCC, Interest Coverage / DSCR) Help design and implement a working capital management program to improve liquidity metrics. Maintain debt schedules and covenant calculations for compliance reporting.
FP&A & Business Partnering Perform monthly, quarterly, and annual analysis of cash flow drivers and working capital trends and translate the findings into actionable recommendations for business leaders. Support the annual budgeting process, quarterly latest estimates, and ongoing forecasting across cash and capital plans. Help implement and enhance our capital expenditure process, partnering with Procurement, Operating Companies, Accounting, and Operations to track budget-to-actuals and build business cases for growth. Strategic Analysis & Reporting Evaluate opportunities: compile research, build detailed financial models, and craft clear, compelling presentations that help leadership prioritize and act. Support analysis of capital structure, cost of capital, and financing strategies, monitoring metrics relevant to lenders and internal stakeholders Contribute to board materials, investor updates, and executive presentations. Identify and implement improvements to financial processes, reporting automation, and data quality; support integration of financial and operational. Take on ad hoc analysis and modelling to support investment, financial, and operating decisions.
What You Bring Must-Haves: 3–5+ years of progressive experience in FP&A, treasury, corporate finance, investment banking, or transaction advisory. Demonstrated experience in complex financial modelling, forecasting, and fundamental research advanced. Excel proficiency. Strong analytical and creative problem-solving skills, with sharp attention to detail. Proven ability to juggle multiple priorities, adapt quickly, and make sound decisions under pressure. A self-starter mindset — you work independently, take ownership, and are energized (not drained) by ambiguity. Excellent communication and interpersonal skills; you take feedback well and act on it. Post-secondary degree in Business, Finance, Economics, Math, Statistics, or a related quantitative discipine.
Nice-to-haves CPA, CTP, CFA, or equivalent designation (or in progress) Experience with Power BI, Adaptive Insights, and NetSuite. Prior exposure to private equity-backed, multi-entity, or healthcare environments.
Why Join Our Clients Impact and visibility: Small team, direct access to executives, and work that shapes real decisions Breadth: Treasury, FP&A, strategy, and board reporting in one seat which is rare at his level. Growth: PE-backed with an active growth agenda, meaning M&A exposure, expanding scope, and room to advance.
You will get benefits, 10% bonus, vacation and professional development support.
Not the right fit? Search for Financial Analyst jobs in Toronto, Ontario, Canada
About People Prodigy Recruitment
Welcome to People Prodigy, where we transform the way businesses find talent and job seekers find their dream roles. With a commitment to excellence and a passion for connecting the right people with the right opportunities, we stand as a dedicated recruitment partner in Canada.
Similar Jobs
Senior Financial Analyst
Top Benefits
About the role
About the Role
Our client is a fast-growing, private equity-backed healthcare organization, and they're looking for a Senior Financial Analyst to join their lean, high-impact finance team. This is not a back-office role. You'll sit close to senior leadership, own meaningful work streams across treasury, liquidity, and FP&A, and see your analysis show up directly in board decisions, capital allocation, and growth strategy.
If you want broad exposure such as cash management one day, building a board deck the next, modelling an acquisition the day after. They are looking for someone that thrives with autonomy in a fast-moving environment, and if you think thats you- this role will accelerate your career.
What You'll Own Treasury & Cash Management
Run day-to-day treasury operations: intercompany funding and cash sweeps, debt and interest payments, banking relationships and account administration, corporate credit card platforms, and merchant processing support. Manage FX transactions and funding requirements for our cross-border operations.
Liquidity & Cash Flow Own and continuously enhance our 13-week and 1-year rolling cash flow models, ensuring we're optimizing financing options, building strategic reserves, and prepared for major operational variables. Monitor and optimize the company's liquidity position, analyzing cash flow drivers to support both operational needs and strategic initiatives. Build out our Cash Reporting & Liquidity Metrics Dashboard (DIO, DSO, DPO, CCC, Interest Coverage / DSCR) Help design and implement a working capital management program to improve liquidity metrics. Maintain debt schedules and covenant calculations for compliance reporting.
FP&A & Business Partnering Perform monthly, quarterly, and annual analysis of cash flow drivers and working capital trends and translate the findings into actionable recommendations for business leaders. Support the annual budgeting process, quarterly latest estimates, and ongoing forecasting across cash and capital plans. Help implement and enhance our capital expenditure process, partnering with Procurement, Operating Companies, Accounting, and Operations to track budget-to-actuals and build business cases for growth. Strategic Analysis & Reporting Evaluate opportunities: compile research, build detailed financial models, and craft clear, compelling presentations that help leadership prioritize and act. Support analysis of capital structure, cost of capital, and financing strategies, monitoring metrics relevant to lenders and internal stakeholders Contribute to board materials, investor updates, and executive presentations. Identify and implement improvements to financial processes, reporting automation, and data quality; support integration of financial and operational. Take on ad hoc analysis and modelling to support investment, financial, and operating decisions.
What You Bring Must-Haves: 3–5+ years of progressive experience in FP&A, treasury, corporate finance, investment banking, or transaction advisory. Demonstrated experience in complex financial modelling, forecasting, and fundamental research advanced. Excel proficiency. Strong analytical and creative problem-solving skills, with sharp attention to detail. Proven ability to juggle multiple priorities, adapt quickly, and make sound decisions under pressure. A self-starter mindset — you work independently, take ownership, and are energized (not drained) by ambiguity. Excellent communication and interpersonal skills; you take feedback well and act on it. Post-secondary degree in Business, Finance, Economics, Math, Statistics, or a related quantitative discipine.
Nice-to-haves CPA, CTP, CFA, or equivalent designation (or in progress) Experience with Power BI, Adaptive Insights, and NetSuite. Prior exposure to private equity-backed, multi-entity, or healthcare environments.
Why Join Our Clients Impact and visibility: Small team, direct access to executives, and work that shapes real decisions Breadth: Treasury, FP&A, strategy, and board reporting in one seat which is rare at his level. Growth: PE-backed with an active growth agenda, meaning M&A exposure, expanding scope, and room to advance.
You will get benefits, 10% bonus, vacation and professional development support.
Not the right fit? Search for Financial Analyst jobs in Toronto, Ontario, Canada
About People Prodigy Recruitment
Welcome to People Prodigy, where we transform the way businesses find talent and job seekers find their dream roles. With a commitment to excellence and a passion for connecting the right people with the right opportunities, we stand as a dedicated recruitment partner in Canada.