In this role, youll have the opportunity to strengthen our internal controls and guide our treasury activities. Youll play a key role in ensuring accurate cash forecasting, supporting compliance reviews and reporting, and contributing to operational efficiency. If this opportunity excites you, we encourage you to apply!
Responsibilities:
-Responsible for treasury operations:
o Preparation of weekly cash forecasts
o Loan management
o Banking and bank reconciliations
o Maintaining letters of credit
o Weekly payment runs and related fraud checks
-Responsible for internal control procedures:
o Annual review of internal control process
o Providing information requested for any internal audits
o Monthly/quarterly compliance reviews
-Responsible for annual ESTMA reporting and related external audit
Skills and Qualifications were seeking:
-Accounting Degree, with 3 years relevant experience
-CPA designation or working towards the CPA designation
-Highly proficient in Microsoft Excel, with experience using SAP an asset
-Excellent planning and organization skills to coordinate efforts and meet deadlines
-Excellent time management skills, analytical skills and able to prioritize work effectively
-Strong oral and written communication skills
-Cooperative and collaborative, able to work as part of a team
-Honest, ethical, and respects confidentiality
Work Location & Schedule:
-Saskatoon, Saskatchewan