Job Description

Take on a leadership role in treasury management with Pomerleau, a recognized Canadian industry leader. This hybrid position requires expertise in cash management, financial modeling, and effective communication. As a Treasury Manager, you will oversee cash flow management and support the Vice President – Treasury in executing key financial strategies. Your solid analytical skills and ability to engage with multidisciplinary teams will drive the company’s growth, supported by your leadership within the treasury team. This role is pivotal for managing liquidity needs and financial risks effectively.

Key Responsibilities

  • Lead and inspire the treasury team to achieve financial goals
  • Develop a comprehensive cash flow forecasting model
  • Monitor liquidity needs and manage cash flow
  • Review cash flow curves for bidding projects
  • Report performance metrics for Audit and Risk Committee

Requirements

  • Bachelor’...

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