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Superior Gas Liquids logo

Cash Management Team Lead

Calgary, Alberta
Senior Level
full_time

Top Benefits

Supportive and inclusive work environment
Continuous focus on professional development
Many opportunities for training & career growth

About the role

What we will offer you:

Culture: Join a supportive and inclusive work environment where teamwork, respect, and open communication are at the core of everything we do.

Opportunity: A continuous focus on professional development with many opportunities for training & career growth.

Health & Wellness: Competitive health benefits right from the start including health & wellness spending accounts & maternity leave top-up. Access our employee assistance program for confidential counseling, mental health support, and various resources to help you navigate life’s challenges.

Competitive Compensation: We offer a highly competitive salary package, ensuring that your hard work and dedication are recognized and rewarded accordingly.

Flexibility: We understand the importance of work-life balance, we offer flexible hybrid work options to help you manage your personal and professional commitments.

Technology: Work with state-of-the-art tools and technologies that empower you to excel in your role and stay at the forefront of industry trends.

Safety Focused: We care about you and have committed to a zero-harm workplace.

Reporting to the Controller, the Cash Management Team Lead oversees a team of two and is responsible for preparing daily cash flow forecasts, supporting cash management activities, handling the corporate credit card program, and assisting with the month-end close process.

What you’ll do:

Manage customer receipts:

  • Accurately apply customer cash receipts in the financial system
  • Ensure payments are matched to the correct customer accounts and invoices
  • Maintain strong, professional relationships with customers to support timely payments
  • Oversee the finance charges process
  • Manage the pre-authorized payment process, including setup, monitoring, and issue resolution
  • Reconcile customer receipts in the system with bank statements to ensure data integrity
  • Collaborate with AR/AP Administrators to support collections and ensure adherence to credit policies

Prepare daily cash flow forecast and communicate said forecast or cash flow concerns to management, and assist with cash flow management:

  • Enter payable invoices onto forecast and processes and approve in financial management system
  • Advise Superior Plus of all outgoing CDN and USD payments before they occur, as well as any expected receivables
  • Assist with USD cash management by ensuring that required funds are available in the USD bank account, up to established limit, and request funds from Superior Plus, as needed

Support daily banking responsibilities:

  • Provide guidance and support to two Cash Management Accountants to ensure timely and accurate processing of daily payments
  • Address suppliers and customers inquiries
  • Review weekly intercompany reconciliations and settlements
  • Investigate and resolve any banking issues
  • Identify opportunities for process improvement and automation with cash operation

Assist with month end close processes:

  • Prepare journal entries and bank reconciliations
  • Prepare allowance for doubtful analysis
  • Prepare account reconciliation on accounts payable and accounts receivable
  • Assist with note disclosure package

Oversee the corporate credit card program, ensuring compliance with company policies:

  • Monitor and follow up outstanding expense report to ensure timely submission
  • Reconcile employee expenses between Concur and Workday
  • Respond to employee inquiries related to expenses and corporate credit cards

What you bring:

  • Post secondary education in Accounting.
  • CPA designation preferred.
  • Minimum 1 year practical experience in accounting and cash management.
  • Superior attention to detail, to ensure the accuracy of all information.
  • Strong communication skills, both verbal and written.
  • Strong organizational and time management skills, including the ability to manage multiple & frequently changing priorities.
  • Ability to work independently, as well as within a team.
  • Ability to handle sensitive information and maintain confidentiality.
  • Strong computer proficiency, including MS Office (Word, Excel & Outlook), as well as the ability to learn and adapt to new applications. Experience with financial / accounting management software is an asset.

Superior Gas Liquids (SGL) provides tailored solutions to wholesale customers to move propane and butane throughout North America. SGL is the sole supplier to Superior Propane; Canada's largest and only coast to coast propane distributor.

"Here at Superior Gas Liquids we are an equal opportunity employer committed to the inclusion and accommodation of all individuals. If you have an accommodation need during the recruitment & selection process, we encourage you to connect with us at aoda_hr@superiorpropane.com to let us know how we can enhance your experience."

About Superior Gas Liquids

Oil and Gas
51-200

Profile

Superior Gas Liquids is a leading natural gas liquids marketing company providing secure supply and service solutions. With a full-service, value-added approach to natural gas liquids marketing, our customers rely on us for supply, transportation, storage and risk management services.

Reliable Supply Superior Gas Liquids offers a reliable, timely source of supply at competitive market prices while staying in touch with our customers and their business needs. We deliver results by utilizing a strong supply chain including producers, pipelines, common carriers and rail companies.

Secure Solutions Our pricing is competitive and our programs are flexible. The risk management programs of Superior Gas Liquids can help manage the volatility of market uncertainty.

You Can Rely on Superior Gas Liquids We are a team of experienced professionals who are customer focused and offer a personalized level of service.