Elevate your financial career with Flair Airlines as a Treasury Analyst focused on forecasting and analytics. This in office role in Calgary, Toronto, or Edmonton seeks candidates proficient in cash flow forecasting and financial modeling.
Become a vital part of Flair's Finance team, fueling the financial engine behind Canada’s leading ultra low-cost airline. We’re looking for analytical professionals who thrive in detailed financial settings. In this strategic position, you will enhance financial health through cash flow insights, advanced forecasting, and process automation initiatives.
Key Responsibilities:
• Develop and maintain cash flow forecasts for various timeframes
• Perform variance analysis and recommend improvements
• Build advanced Excel forecasting tools and dashboards
• Analyze historical cash flows for enhanced methodologies
• Construct financial models for strategic planning
Requirements:
• 2–5 years in treasury or corporate finance roles
• Familiarity with ERP and Treasury Management Systems
• Robust analytical skills and attention to detail
• Excellent communication skills for diverse stakeholders
• Education in Finance, Accounting, or related field
Leverage your financial acumen in a growing team, making a significant impact at Flair Airlines.
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📌 Treasury Analyst Forecasting At Flair Airlines Toronto
🏢 Flair Airlines
📍 Toronto
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