Drive financial strategy as a Senior Financial Analyst with Goway Travel, located in Toronto with a hybrid working model. Excel in managing comprehensive treasury analyses and monthly reporting.
Reporting to the VP of FP&A;, this full time role emphasizes cash flow forecasting, currency obligation monitoring, and the development of risk mitigation strategies. You will play a key part in delivering insightful analyses and profitability models that support business performance and strategic objectives.
Key Responsibilities:
• Provide comprehensive monthly financial insights and analyses
• Develop profitability models by line of business
• Create ad-hoc reports and presentations for executives
• Evaluate key cost and revenue components for financial performance
• Build a treasury dashboard for forex exposure monitoring
Requirements:
• Bachelor’s in Finance, Accounting, or related field
• 3+ years of advanced Excel and financial modeling proficiency
• Knowledge of foreign exchange markets and hedging
• Robust analytical and communication abilities
• Detail-oriented with a proactive mindset
Utilize your financial modeling skills to empower Goway Travel’s financial decision-making processes.
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