Join Centerra Gold as a Treasury Analyst in a hybrid role based in Toronto, ON. Contribute to cash management, treasury reporting, and financial analysis to enhance operations.
As a valued member of the Centerra Corporate team, you'll assist with internal and external treasury reporting, manage cash sweeps, and support hedging programs. This Analyst role requires interaction with the taxation team and senior management to prepare cashflow forecasts and funding notices. You'll play a crucial part in financial management, requiring attention to detail and cross-functional collaboration.
Key Responsibilities:
• Administer and track FX transaction bookings
• Prepare wire payments and assist in accounts payable
• Lead cash management reporting and updates
• Administer intercompany loan processes and funding
• Provide monthly financial data to reporting teams
Requirements:
• Degree in Finance, Economics, or Accounting
• 3-5 years of relevant experience preferred
• Familiarity with Bloomberg and ERP systems
• Strong analytical and technical skills
• Proficiency in Microsoft Excel and financial analysis
Enhance your treasury expertise and grow your career with Centerra Gold’s agile team.
#J-18808-Ljbffr