Analyst, Finance & Treasury

at  Oxford Properties

Toronto, ON, Canada -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate28 Jul, 2024Not Specified02 May, 20242 year(s) or aboveGood communication skillsNoNo
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Description:

Why join us?
Are you looking to join an innovative, global real estate company who builds communities and connects people to exceptional places? If so, we would love to tell you our story.
At Oxford, our culture is truly one of a kind. Across business lines and around the world, we embrace the complex and tackle opportunities with speed and agility. We are ambitious and humble, forward looking and service-focused. We get stuff done, and have fun doing it! We take great pride in contributing to the communities where we live. We believe that what is good for the environment is good for business. Together we deliver exceptional experiences to our over 2 million daily customers.
We are looking for Analyst, Finance & Treasury to join our Operational Treasury team based out of our Head Office in downtown Toronto. In this role, you will report to Manager, Finance & Treasury, and will be responsible for cash management, forecasting and transactional funding support. The role requires strong analytical and communication skills, the ability to multitask in a fast-paced environment, and works well in a collaborative environment.
Responsibilities

Monitor daily liquidity and cash activity; determine short term borrowings for management companies.

  • Preparation of cash forecasts and financial models to identify, and action on sources of cash accumulation;

Support Treasury in the development and preparation of Treasury reports for management and business partners, including but not limited to use of Power BI;
Assist with flow of funds planning for closing of real estate transactions, in collaboration with various teams;
Prepare funding call packages for operational and transactional cash needs; managing draws, repayments and rollovers on Oxford’s corporate credit facilities;
Support the Manager in driving strategic Treasury initiatives, process improvements and cash management/minimization projects globally;
Maintain forecasts and information in Oxford’s Treasury Management System, Kyriba.
Analyze and document the internal control and processes, particularly the key risks and adequacy of existing controls;
Ensures compliance with all Oxford and Treasury policies;
Manage the payments desk to ensure timely and accurate processing of all wires payments; and
Perform other duties and projects as assigned.
Experience / Qualifications Required
2 - 3 years of Treasury work experience preferred; relevant accounting or finance experience is also an asset;
Have a bachelor’s degree in business, finance or a related field;
CPA or CTP designations would be considered an asset;
Strong interpersonal, communication and the ability to work within various group settings with contacts at varying levels;
Highly proficient in Microsoft Office software (i.e. Excel, Outlook, Word, etc.)
Experience with using Treasury Management Systems and/or online banking platforms; experience with Kyriba would be an asset;
Ability to “see the big picture” and develop a strong understanding of Oxford’s organizational structure to effectively carry out cash management and transactional funding responsibilities;
Strong analytical, financial modeling, and advanced excel skills are required, to create analysis, and reports for decision making;
Possess excellent attention to detail;
Can recognize key risks and question existing tasks/methodologies with a view to improving overall processes, generating efficiencies and strengthening the existing control environment; and
Thrive in a fast-pace dynamic environment, with ability to prioritize work and manage multiple tasks with varying deadlines.

Responsibilities:

Please refer the Job description for details


REQUIREMENT SUMMARY

Min:2.0Max:3.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Proficient

1

Toronto, ON, Canada