Analyst, Corporate Finance at Trimac Transportation
Calgary, AB, Canada -
Full Time


Start Date

Immediate

Expiry Date

04 Dec, 25

Salary

0.0

Posted On

04 Sep, 25

Experience

3 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Power Bi, Optimization, Scenario Analysis, Business Case Development, Cash Flow Forecasting

Industry

Financial Services

Description

OVERVIEW

Trimac isn’t just a transportation company; it’s an industry disruptor with a remarkable 80-year legacy of safely delivering products that improve people’s lives across North America.
Our workplace culture is centered on being safe, respectful, innovative and inclusive. We are committed to maintaining a rewarding work environment that allows employees to experience new opportunities and build their chosen careers. Across the company, we encourage open communication, champion integrity, celebrate individuality and cultivate diverse talents and perspectives. If you’re ready for a challenge that will help drive forward an industry leading team, we invite you to begin your journey with us.

JOB DETAILS

The Analyst, Corporate Finance will play a pivotal role in driving strategic financial decisions through advanced analytics, financial modeling, and investment analysis. Reporting to the Director of Capital and Financial Planning, this analytically oriented position focuses on cash flow modeling, business case development, and capital investment management to optimize financial performance and asset utilization. The Analyst will also deliver forward-looking forecasts and provide support for treasury and cash management functions to ensure the organization’s operational and capital funding needs are met.

QUALIFICATIONS

  • Experience with forward forecasting, scenario analysis, and business case development for capital investments.
  • Familiarity with treasury and cash management principles, including cash flow forecasting and optimization.
  • Knowledge of the transportation or logistics industry and its financial drivers.
  • Exposure to data visualization tools (e.g., Tableau, Power BI) to enhance insight communication.
Responsibilities
  • Conduct detailed cash flow and discounted cash flow (DCF) modeling to assess potential investment opportunities.
  • Develop robust business cases for capital investment projects, ensuring alignment with strategic and financial goals.
  • Perform financial due diligence on investment opportunities, evaluating risks, returns, and long-term value creation.
  • Analyze internal and external data to uncover trends, risks, and opportunities that support data-driven decision-making.
  • Identify performance improvement initiatives across operations and finance through actionable insights derived from analytics.
  • Enhance operational efficiency and financial performance by providing recommendations grounded in comprehensive data analysis.
  • Maintain a holistic, multi-year view of capital investments across fleets, prioritizing equipment utility and return on net assets (RONA).
  • Collaborate with stakeholders to align capital allocation with business priorities and financial objectives.
  • Leverage Microsoft tools and financial analytics to deliver insights that drive capital investment optimization.
  • Build forward-looking forecast models to predict the financial and operational impact of business decisions.
  • Analyze potential scenarios and outcomes, delivering recommendations to leadership based on forecast results.
  • Support long-term planning by modeling the implications of investment and operational strategies.
  • Assist in managing cash flow to support daily operations and fund capital investments, ensuring liquidity and financial stability.
  • Provide support for treasury functions, including cash forecasting and working capital management.
  • Collaborate with the finance team to optimize cash utilization and address funding needs for business initiatives.
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