Horizon Recruitment Inc. is conducting a search for an experienced Treasury Director that will report to the Vice President & Treasurer. The successful candidate will oversee Treasury operations of our global client ensuring effective treasury support for operations in a multi jurisdictional, multi currency environment.
Responsibilities:
- Manages and oversees global liquidity and daily cash management processes including, but not limited to, funding strategies, banking operations, cash flows across entities, and interest optimization.
- Works closely with FP&A to prepare quarterly, annual and ad-hoc reporting, including financial liquidity and credit projections.
- Supports Tax team on transfer pricing initiatives and other intercompany transactions.
- Establishes and maintains minimum levels of liquidity in entity bank accounts, develops, and updates internal control measures with respect to cash and investments.
- Formulates, implements and maintains investment policies to properly manage excess cash balances.
- Supports negotiation, amendments and extensions of corporate revolving credit facility
- Supports and plays key role in fundraising in public Debt Capital Markets
- Leads the management and administration of corporate credit facilities (revolver, letter of credit facilities, working capital facilities), including corporate lender relationships, compliance and reporting, amendments/consents, extensions, etc.
- Monitors and ensures compliance with the Company’s Credit Agreement.
- Handles company-wide cash and short-term investment management including developing and maintaining guidelines. Ensures clear reporting on cash & STI breakdown.
- Maintains positive banking relationships and leverages such partnerships for business needs.
- Works with Tax, Legal, Accounting and Financial Planning & Analysis (FP&A) teams to develop cash flow forecasting models to enable active monitoring and optimization of working capital across subsidiaries.
- Develops and implements plans related to intercompany loans/capital and subsidiary funding/repatriation to support project development, global tax optimization strategies, and business needs.
- Prepares and oversees preparation of reports, presentations and materials for executive management and the Board of Directors on corporate liquidity, capital structure, foreign exchange and other treasury-related matters.
Requirements:
- Knowledge of banking regulations and financial instruments (e.g., FX, derivatives).
- Proficiency in financial modeling and analysis using Excel or other analytical tools.
- At least 10 years of progressive experience in treasury and FP&A
- Bachelor’s degree in business, Economics, or Finance.
- A professional designation related to Treasury or Finance (e.g., CTP, CFA, CPA) is preferred
- Demonstrated leadership and mentorship skills to support team development, recruitment, and long-term succession planning.
- Strong analytical, problem-solving, and critical thinking skills.
- High level of attention to detail and accuracy, with the ability to deliver quality results.
- Strong organizational and time management skills, with an ability to effectively manage multiple tasks and set priorities to meet deadlines.
Remuneration:
- Base salary in the range of $160 - $195K plus bonus.
**Only candidates eligible to work in Canada will be considered**
Horizon Recruitment Inc. is a specialized recruitment and search firm with two complimentary practice areas: Finance & Supply Chain.
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