Elevate your finance career with Flair Airlines as a Treasury Analyst specializing in Forecasting & Analytics. This on-site role focuses on cash flow forecasting and advanced financial modeling.
Join Flair’s Finance team, supporting Canada’s leading ultra-low-cost airline. As a Treasury Analyst, you'll leverage your analytical skills and strong Excel abilities to optimize liquidity and improve financial forecasting. This key position will help maintain the organization’s financial health through insightful analysis and strategic recommendations.
Key Responsibilities:
• Develop accurate cash flow forecasts across multiple timeframes
• Conduct variance analysis to enhance forecasting methods
• Build advanced forecasting tools and dashboards
• Analyze cash flow trends for strategic improvements
• Drive process improvements in treasury reporting
Requirements:
• 2-5 years in treasury or corporate finance
• Proficiency with ERP systems and treasury tools
• Advanced knowledge of cash forecasting and financial models
• Robust analytical and communication skills
• Clear criminal record check for employment eligibility
Amplify your impact in finance at Flair Airlines through cash forecasting and analytical insights.
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📌 Treasury Analyst in Calgary or Toronto
🏢 Flair Airlines
📍 Toronto
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