Elevate your career with Green Infrastructure Partners as a Treasury Manager. This role focuses on treasury operations, cash flow forecasting, and strategic financial planning in a team-oriented environment.Reporting to the Treasurer, you will oversee cash balances and coordinate with corporate finance and operations teams. Key responsibilities include analyzing cash flow forecasts and developing liquidity metrics to support business growth. Your innovative mindset will lead initiatives that drive operational efficiency within our expanding company.Key Responsibilities:
- Assist with monthly and quarterly reporting to senior management
- Oversee daily cash balances and liquidity monitoring
- Implement cash flow forecasting and reporting dashboards
- Manage
📌 Finance Manager At Green Infrastructure Partners (Markham)
🏢 03001 GIP - GFLI
📍 Markham
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