Senior Analyst, Corporate Finance and Treasury (Montreal)

Senior Analyst, Corporate Finance and Treasury (Montreal)

19 Aug
|
Kruger
|
Montreal

19 Aug

Kruger

Montreal

POSITION SUMMURY The Senior Analyst, Corporate Finance &

- Treasury supports the evaluation, structuring, execution, and monitoring of financing and investment opportunities across Kruger Energy. The role is responsible for developing and maintaining complex financial models, analyzing investment opportunities, supporting debt and equity financing transactions, managing treasury activities, and providing strategic financial insights to senior management.

Accountabilities

Financing &

- Capital Markets

- Support the structuring, negotiation, and execution of debt and equity financing transactions, including project finance, corporate finance, refinancing, and acquisition financing initiatives.
- Assist in lender due diligence processes, financing documentation review, and coordination with legal, technical, tax, and financial advisors.
- Analyze financing alternatives and assess their impact on capital structure, liquidity, covenant compliance, and shareholder returns.
- Prepare financing memoranda, lender presentations, credit materials, and investment committee submissions.
- Support the evaluation, structuring, negotiation, and execution of tax equity transactions, including partnership flip structures, sale-leaseback arrangements, and transferability of tax credits.
- Coordinate financial modeling and due diligence processes related to investment tax credits (ITCs), production tax credits (PTCs), and other renewable energy incentive programs.

Financial Modeling &

- Valuation

- Develop, maintain, and enhance complex financial models for project finance, mergers and acquisitions, investments, and strategic initiatives.
- Perform discounted cash flow (DCF), comparable company, precedent transaction, and sensitivity analyses.
- Conduct scenario analysis, Monte Carlo simulations, and downside case assessments to support investment and financing decisions.
- Prepare financial forecasts, budgets, and long-term business plans.





Investment Analysis

- Evaluate potential investments, acquisitions, partnerships, and development opportunities.
- Analyze project economics, risk-return profiles, and key value drivers.
- Assess transaction structures and prepare recommendations for management and executive decision-makers.
- Monitor portfolio performance and identify opportunities to optimize returns.

Treasury Management

- Support corporate liquidity planning, cash flow forecasting, and working capital management.
- Monitor debt facilities, covenant compliance, borrowing requirements, and financing obligations.
- Assist with treasury optimization initiatives, including banking relationships, cash management structures, and interest rate risk management.
- Support foreign exchange exposure monitoring and hedging strategies, where applicable.

Strategic Finance &

- Reporting

- Prepare financial analyses and presentations for senior leadership, lenders, investors, and the Board of Directors.
- Support strategic planning initiatives and evaluate capital allocation decisions.
- Collaborate with accounting, tax, legal, operations, and development teams to support corporate objectives.
- Identify opportunities to improve financial processes, controls, and reporting capabilities.

Qualifications

- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field.
- CPA, CFA, CBV, MBA, MFin or progress toward a professional designation and/or master’s degree is considered an asset.

Experience





- 3-7 years of experience in corporate finance, project finance, investment banking, private equity, infrastructure investing, treasury, or related fields.
- Advanced financial modeling and valuation skills.
- Solid understanding of debt financing structures, capital markets, and financial statements.
- Advanced proficiency in Microsoft Excel and PowerPoint.
- Experience with project finance, tax equity partnerships, infrastructure, renewable energy, or capital-intensive industries is considered an asset.
- Excellent analytical, communication, and stakeholder management skills.

Skills And Ability

- High sense of urgency and prioritization capabilities.
- Analytical thinking and execution.
- Excellent interpersonal and communication skills. Ability to deal with staff at all levels on site, at head office and with representatives of financial institutions.
- Quality orientation and time management.
- Insightful decision making and judgment.
- Strong work ethic, integrity and positive team spirit.
- High level of self-confidence and excellent verbal and written communication skills.
- Ability to respond appropriately and calmly in emergency situations and to meet deadlines.

LANGUAGES Bilingualism essential: spoken and written (French and English).

Knowledge of English is required for this specific position as Kruger deals with partners across North America and the successful candidate will be required to communicate frequently with them. Kruger has taken all reasonable steps to avoid imposing English language requirements, including assessing the actual language needs associated with the duties to be performed, ensuring that the language skills already required of other employees were insufficient for the performance of those duties, and limiting as much as possible the number of positions with duties requiring English language skills.

📌 Senior Analyst, Corporate Finance and Treasury (Montreal)
🏢 Kruger
📍 Montreal

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