Become a Strategic Financial Analyst at Lightspeed in North America, where you will lead cash flow management and enhance financial reporting strategies. Foster collaboration across finance teams.
Reporting to the Corporate Controller, you will shape the cash flow forecasting and analysis processes. This strategic role demands a highly detail-oriented candidate with analytical and problem-solving skills. Your insights will be crucial for effective financial decision-making and planning.
Key Responsibilities:
• Design and prepare cash flow forecasts quarterly
• Collaborate with FP&A; for cash flow budget development
• Provide variance analysis and reporting to management
• Enhance cash flow visibility with Treasury collaboration
• Identify automation opportunities in financial workflows
Requirements:
• 3+ years in financial analysis or accounting
• CPA required or in progress
• Proficiency in financial planning systems
• Robust analytical and organizational capabilities
• Fluent in English for cross-team communication
Take charge of cash flow insights and financial planning at Lightspeed.
#J-18808-Ljbffr
📌 Strategic Financial Analyst at Lightspeed (Quebec City)
🏢 Lightspeed
📍 Quebec City
Reply to this offer
Impress this employer describing Your skills and abilities, fill out the form below and leave Your personal touch in the presentation letter.