About the role
Responsibilities
- Execute foreign exchange (FX) trades in alignment with organizational strategies.
- Maintain and enhance financial models supporting balance sheet and cash flow currency hedging programs.
- Conduct real-time analysis on hedge performance, with a focus on identifying areas for improved efficiency and effectiveness.
- Prepare monthly mark-to-market summaries, FX rate files, and other scheduled deliverables to support both internal stakeholders and external reporting requirements.
- Oversee customer credit risk, ensuring compliance with internal guidelines, and recommend mitigation strategies where appropriate.
- Support administration and analysis of pension fund activities, including reconciliations and reporting.
- Assist with activities related to capital leasing arrangements.
- Contribute to the management and analysis of equity and share-based compensation plans.
- Monitor debt instruments, swaps, and related reporting processes.
- Collaborate with treasury and cash management teams to address global liquidity needs.
- Work cross-functionally with departments such as legal, tax, and financial reporting.
- Provide support for audits, regulatory compliance, and external financial disclosures.
- Perform ad-hoc analysis and forecasting in support of broader finance initiatives.
- Contribute to the ongoing improvement of financial processes, controls, and policies.
Qualifications & Skills:
- Bachelor's degree in finance, economics, or a related discipline.
- Professional designation (e.g., CPA, CFA, or CTP) is preferred.
- At least 5 years of experience in a treasury or corporate finance function.
- Experience with FX platforms, Bloomberg, or treasury management tools is considered an asset.
- Proficient in financial modeling and analytical thinking.
- Able to quickly adapt to new systems and processes.
- Strong command of Microsoft Excel and the broader Office suite.
- Self-driven with excellent verbal and written communication skills.
About isgSearch
isgSearch is a leading North American recruitment firm specializing in finding top permanent and contract talent in IT, Finance, Accounting, and Engineering. Whether you’re a people manager looking for your next star team member or a job seeker out to find your best employer yet, we’re here to serve you with an exceptional staffing experience.
About the role
Responsibilities
- Execute foreign exchange (FX) trades in alignment with organizational strategies.
- Maintain and enhance financial models supporting balance sheet and cash flow currency hedging programs.
- Conduct real-time analysis on hedge performance, with a focus on identifying areas for improved efficiency and effectiveness.
- Prepare monthly mark-to-market summaries, FX rate files, and other scheduled deliverables to support both internal stakeholders and external reporting requirements.
- Oversee customer credit risk, ensuring compliance with internal guidelines, and recommend mitigation strategies where appropriate.
- Support administration and analysis of pension fund activities, including reconciliations and reporting.
- Assist with activities related to capital leasing arrangements.
- Contribute to the management and analysis of equity and share-based compensation plans.
- Monitor debt instruments, swaps, and related reporting processes.
- Collaborate with treasury and cash management teams to address global liquidity needs.
- Work cross-functionally with departments such as legal, tax, and financial reporting.
- Provide support for audits, regulatory compliance, and external financial disclosures.
- Perform ad-hoc analysis and forecasting in support of broader finance initiatives.
- Contribute to the ongoing improvement of financial processes, controls, and policies.
Qualifications & Skills:
- Bachelor's degree in finance, economics, or a related discipline.
- Professional designation (e.g., CPA, CFA, or CTP) is preferred.
- At least 5 years of experience in a treasury or corporate finance function.
- Experience with FX platforms, Bloomberg, or treasury management tools is considered an asset.
- Proficient in financial modeling and analytical thinking.
- Able to quickly adapt to new systems and processes.
- Strong command of Microsoft Excel and the broader Office suite.
- Self-driven with excellent verbal and written communication skills.
About isgSearch
isgSearch is a leading North American recruitment firm specializing in finding top permanent and contract talent in IT, Finance, Accounting, and Engineering. Whether you’re a people manager looking for your next star team member or a job seeker out to find your best employer yet, we’re here to serve you with an exceptional staffing experience.