19 Apr
|
Equinix
|
Toronto
Apply on Kit Job: kitjob.ca/job/2g96fz
Cultivate financial stability as a Treasury Manager focusing on derivatives. Manage hedging strategies and execute trades to protect earnings, emphasizing compliance with accounting standards.As a cornerstone of the treasury team, you will handle foreign exchange and interest-rate derivatives while ensuring precise reporting and valuation. Collaborate cross-functionally to develop streamlined processes, enhancing the treasury’s operational efficiency.Key Responsibilities:- Manage foreign-exchange and interest-rate exposures- Execute trades and negotiate terms with banks- Ensure accuracy in derivative trade classification- Oversee month-end close for derivative activities- Prepare sections of 10-Q and 10-K reportsRequirements:- 3+ years in derivative accounting experience- Solid knowledge of U.S. GAAP required- Familiarity with Reval, Oracle Cloud, and Hyperion preferred- Bachelor's degree in Finance, Accounting, or similar- Collaborative disposition with attention to detailLead treasury operations by effectively managing derivative exposures and enhancing financial reporting practices.#J-18808-Ljbffr
Apply on Kit Job: kitjob.ca/job/2g96fz
📌 Treasury And Derivative Accounting Manager (Toronto)
🏢 Equinix
📍 Toronto