16 Sep
|
Bilinguallink
|
British Columbia
16 Sep
Bilinguallink
British Columbia
Join Intersect as a Cash Management Analyst and engage in daily liquidity operations and accounts payable tasks. This flexible role is key to our clean energy strategy.
In this role within the Corporate Finance team, you’ll optimize cash management workflows, ensure accuracy in financial transactions, and support strategic forecasting initiatives. Your contributions will underpin Intersect's mission in advancing sustainable infrastructure while enhancing operational efficiency. Experience a culture that emphasizes collaboration and continuous improvement.
Key Responsibilities:
• Execute daily cash positioning and bank account consolidations
• Develop detailed liquidity models in Google Sheets
• Oversee approval workflows in invoice management systems
• Validate wire transfers and ACH payments consistently
• Manage documentation for regulatory compliance and audits
Requirements:
• Bachelor’s degree in Finance, Accounting, or Economics
• Minimum 2 years in corporate treasury or financial operations
• Hands-on experience with treasury tools like Kyriba
• Expertise in cash flow forecasting
• Commitment to operational authenticity and team collaboration
Leverage your cash management skills to fuel Intersect's ambitious energy solutions and engage in a purpose-driven setting.
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📌 Cash Management Analyst – Intersect (British Columbia)
🏢 Bilinguallink
📍 British Columbia