Elevate your finance career with Lionsgate Canada as a Treasury Analyst. This position emphasizes cash flow management and financial reporting with a focus on data-driven analysis.
As part of the finance department, you will play a crucial role in preparing daily cash reports and analyzing forecasts. This position requires strong analytical skills and expertise in financial software to support banking activities and respond to inquiries. You will collaborate with finance teams to improve forecasting models and ensure efficient cash operations.
Key Responsibilities:
• Report and prepare daily cash position and forecasts
• Reconcile cash balances on a weekly basis
• Set up payment wires and manage bank journal entries
• Handle banking inquiries and support daily operations
• Cultivate relationships with finance teams for improved forecasting
Requirements:
• 1-3 years of experience in cash management
• Advanced Excel skills in financial modeling
• Understanding of accepted accounting rules
• Solid attention to detail with multitasking abilities
• Willing to work flexible hours when needed
Apply your expertise to support the financial operations of a leading entertainment company.
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📌 Finance Treasury Analyst Role at Lionsgate (Ontario)
🏢 Lionsgate
📍 Ontario
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