Due to a recent opening we are currently seeking an experienced accounting professional to serve in a leadership role and provide oversight to the accounting…
Fournir un soutien direct au directeur senior des finances, notamment en participant à des projets spéciaux tels que des exercices d'évaluation des coûts et des…
In this position, you will be responsible for bank account management, transaction execution, documentation and preparation of cash projection reports.
Prepares monthly cash flow forecast for corporate accounting team, updates actual cash flow reports weekly and assists in preparation of 3-month rolling cash…
Diriger les processus de fin de mois et de fin d’année, y compris les prix de transfert, les audits, le processus fiscal annuel et les activités R&D afin de…
Reporting to the Director of Finance / Treasurer, the successful candidate will be assisting with the general management of the Treasury Department, including…
Prepare daily cash update and summary, and monthly US cash balance report. Gain an understanding of the variables needed to create the short-term cash forecast,…
Drive and contribute to the analysis of audit observations, identification of root causes of control deficiencies, development of meaningful observations and…
The successful candidates will participate in business development initiatives across departments and locations of BNP Paribas, and collaborate with Front…
Bachelor’s degree from an accredited institution in Commerce, Arts or a related field. Support the Global cash flow forecast process by communicating with…
Prepare operational cash forecast by site. Consolidate and forecast weekly cash requirements by site and portfolio. Ad hoc exercises/analysis as required.
Ability to communicate with colleagues and customers in a professional and supportive manner. Reporting directly to the Cash Logistics Supervisor and working in…
1-3 years’ experience in Financial Services focused around data entry and cash/payment processing. Engage our clients in a professional manner and provide…
Lead their training and development, performance evaluation and maintaining a healthy and collaborative work environment. Advanced knowledge of US GAAP/IFRS.
Responsabilité globale d'assurer la conformité aux exigences en matière d'information financière en vertu des exigences USGAAP en veillant à ce que les…
An understanding of fixed income, and cash and derivatives markets. A degree in business, majoring in finance or accounting and a minimum three years of…
In this position, you will be responsible for bank account management, transaction execution, documentation and preparation of cash projection reports.
Valid B.C. driver’s license. Utilize company software including Spreadsheet Server and Query Designer, and develop reporting to aid in the analysis of job…
Analyze and project cash movements by currency. Bachelor's degree in Administration, Finance option or related field; 1 to 3 years of relevant experience.
Specific responsibilities will include but are not limited to managing a team of 5-10 staff, financial reporting, accounting, cash flow, forecasting, treasury,…