Job Description

Elevate your financial expertise as a Financial Planning Analyst supporting treasury functions with a focus on cash management and equity in the AEC industry. Your role emphasizes budgeting, forecasting, and insightful financial analysis.

Join a dynamic finance team where you will play a central role in preparing cash flow models, optimizing liquidity targets, and collaborating with various departments. Your expertise will aid in administering corporate share transactions, conducting P&L budgeting, and analyzing financial results against forecasts. This position is exceptional for candidates seeking to make strategic financial decisions while enhancing their analytical skill set.

Key Responsibilities: • Prepare cash flow forecasts and provide analysis for treasury decisions • Monitor daily cash positioning to optimize investment activities • Collaborate to maintain the corporate share registry and documentation • Assist with budgeting and forecasting across multiple b...

Ready to Apply?

Take the next step in your AI career. Submit your application to Confidential today.

Submit Application