Join Green Infrastructure Partners (GIP) as a Financial Analyst specializing in Treasury operations. This role emphasizes cash management, financial reporting, and stakeholder collaboration.
As a key player reporting to the Director of Finance, your analytical skills will drive management decision-making and enhance GIP’s treasury and cash operations. You’ll prepare essential financial analyses for various stakeholders, alongside optimizing equipment leasing and banking operations that meet the company's expanding needs.
Key Responsibilities:
Conduct financial analysis for board and management reports
Maintain the Equipment Lease Financing Program
Review treasury operations and approve payments
Update corporate banking practices and KYC checks
Assist with corporate credit card administration
Requirements:
Post-secondary education in Finance or Accounting
Actively pursuing CPA designation
Minimum 3 years experience in financial analysis
Expertise in MS Excel and financial software
Excellent attention to detail and teamwork skills
Harness your analytical talent to foster GIP’s financial growth and operational excellence.
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