Senior Treasury Analyst (Hybrid)
Irving Oil
- Saint John, NB
- Permanent
- Full-time
- Work Environment – Work in our beautiful home office building with access to a fitness facility, onsite nurse, and a café.
- Hybrid Work Model – Allows for a blend of in-office and work-from-home days.
- Competitive Compensation – Including an annual bonus plan, pension plan, and parking allowance.
- Flexible Benefits Plan – in effect from day one and offers three levels of coverage to select from to meet your unique, personal needs.
- Paid Vacation – Plus an annual option to purchase additional vacation, too.
- Wellness Support – With an annual wellness allowance, paid personal care days and a 24/7 Employee & Family Assistance Program.
- Opportunity to give back to some amazing causes in our community – Choose when and where to make an impact with a paid volunteer day, company volunteer opportunities, and a donation matching program.
- Demonstrate leadership with financing, deal structuring, lender relations, financial and benchmark analysis, foreign exchange, interest rate risk management, working capital, special projects and strategic planning.
- Work with Treasury team in preparation of memos, reports and presentation materials in keeping with regular and ad hoc reporting.
- Work with Finance Office personnel as well as value centre people on the preparation of various stakeholder reporting materials.
- Contribute to the overall effectiveness of the enterprise by performing other duties as required.
- Open and approachable relationship builder with superb analytical and strategic thinking skills.
- Highly collaborative and excellent interpersonal skills.
- Excellent communication and presentation skills, both verbal and written.
- Advanced spreadsheet modelling, with high attention to detail and accuracy.
- Capital markets and economics background.
- Demonstrated ability to take initiative and be proactive, energetic and can work both autonomously and as part of a team.
- Strong organizational skills with strong sense of urgency as the role is deadline driven.
- Ability to effectively prioritize and execute tasks in a high-pressure environment.
- A direct, business-oriented style with a high degree of integrity and a constant drive to do what is best for the business and its shareholders.
- 5-8 yrs. experience in investment or corporate banking, corporate finance and/or accounting.
- University degree in business with a demonstrated knowledge of finance.
- Professional Finance or Accounting designation (CFA, CPA, CBV) or actively pursuing would be considered an asset.