Join American Iron & Metal Company (AIM) as a Treasury Senior Manager and manage key treasury activities. Focus on cash management, banking operations, and financial risk analysis while supporting sustainability efforts.This pivotal role in AIM's treasury department involves overseeing day-to-day operations, managing liquidity, and collaborating with finance teams to maintain treasury compliance. You will be vital in driving process improvements and innovations within treasury management systems.Key Responsibilities:Prepare and maintain cash-flow forecasts and monitor liquidityAct as primary contact with banking partners for operationsExecute hedging transactions and track policy complianceDevelop treasury reports including cash and risk metricsIdentify opportunities for process improvements in treasury operationsRequirements:6–9 years of treasury or corporate finance experienceBachelor's degree in a finance-related fieldProficient in cash forecasting and bank operationsAdvanced skills in Excel and financial analysisStrong problem-solving and communication abilitiesElevate AIM's treasury operations through leadership and effective collaboration.#J-18808-Ljbffr
📌 Treasury Senior Manager Role At Aim (Montreal)
🏢 American Iron & Metal (AIM)
📍 Montreal
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