Partenaire d’affaires - Finances / Finance Business Partner at Valsoft Corporation
Montréal, QC, Canada -
Full Time


Start Date

Immediate

Expiry Date

03 Oct, 25

Salary

0.0

Posted On

04 Jul, 25

Experience

0 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Excel, Strategic Thinking, Technical Proficiency, Interpersonal Skills, English

Industry

Financial Services

Description

DESCRIPTION DU POSTE:

En tant que Partenaire d’affaires – Finances, vous serez responsable de la supervision de toutes les opérations financières, y compris la budgétisation, les prévisions, la planification financière et l’analyse des entreprises de votre groupe. Vous jouerez également un rôle clé dans l’intégration financière des entreprises nouvellement acquises.
Vous ferez partie d’un portefeuille composé d’une équipe de Partenaires d’affaires – Finances, chacun étant responsable de son propre groupe. Vous relèverez du Contrôleur financier – Portefeuille. Ce portefeuille a une portée mondiale.

QUALIFICATIONS REQUISES / MINIMALES:

  • Qualifications : Comptable professionnel agréé (CPA) avec un excellent historique de résultats.
  • Expérience : Minimum de 3 ans dans un poste similaire, ayant dirigé au moins une intégration ERP.
  • Connaissances : Maîtrise approfondie des normes comptables et financières ainsi qu’une connaissance avancée d’Excel.
  • Compétences : Excellentes capacités d’analyse, de réflexion stratégique et de résolution de problèmes. Capacité démontrée à gérer et à développer des équipes performantes. Excellentes aptitudes en communication et relations interpersonnelles.
  • Maîtrise technique : Connaissance des logiciels financiers et outils, y compris les systèmes ERP. Expertise avancée de MS Excel.
  • Langue : Maîtrise de l’anglais, à l’écrit et à l’oral.
    Environnement : Capacité à travailler dans un environnement dynamique au rythme rapide et à gérer plusieurs priorités.
    Prêt(e) à joindre une équipe collaborative et innovante où vous pourrez avoir un impact immédiat?

POSITION DESCRIPTION:

As a Finance Business Partner you will be responsible for overseeing all financial operations, including budgeting, forecasting, financial planning, and analysis of the Companies within your group. You will also play a key role in the financial integration of newly acquired businesses.
You will be part of a portfolio with a team of Finance Business Partners each with their own group. You will be reporting to the Finance Controller – Portfolio. This portfolio has a global presence.

REQUIRED/MINIMUM QUALIFICATIONS:

  • Qualifications: A qualified financial accountant (CPA) with a solid track record of results driven accomplishments.
  • Experience: 3+ years of experience in a similar role and having managed at a minimum one ERP integration.
  • Knowledge strong of financial regulations and standards and advanced knowledge of Excel.
  • Skills: Excellent analytical, strategic thinking, and problem-solving skills. Proven ability to manage and develop high-performing teams. Exceptional communication and interpersonal skills.
  • Technical Proficiency: Proficiency in financial software and tools, including ERP systems. Advanced knowledge of MS Excel.
  • Language: Fluent in English, both written and verbal.
  • Environment: Ability to work in a fast-paced, dynamic environment and manage multiple priorities.
    Ready to join a collaborative and innovative team where you can make an immediate impact?

    ValsoftG

Responsibilities
  • Responsible for Financial Functions and Daily Accounting Operations: Manage accounts payable, accounts receivable, and general ledger activities to ensure accurate and timely financial transactions and records.
  • Collaborate with the Portfolio Finance Team: Work closely with the Financial Controller to recruit, train, and develop the accounting team, ensuring high standards in financial management.
  • Prepare and Present Financial Statements: Generate monthly financial reports, analyze data, and provide ad hoc financial insights to support informed decision-making.
  • Prepare and Analyze Financial Statements: Generate financial statements such as balance sheets, income statements, and cash flow statements to ensure accurate financial reporting .
  • Maintain and Reconcile General Ledger Accounts: Perform monthly and quarterly account reconciliations to ensure accurate reporting and ledger maintenance.
  • Manage Accounts Payable and Receivable Processes: Oversee the processing of accounts payable and receivable, ensuring timely and accurate payments and collections.
  • Develop Budgets and Forecasts: In collaboration with the group’s Managing Director, develop and maintain financial budgets and forecasts, providing insights and ensuring alignment with corporate objectives.
  • Monitor Free Cash Flow: Manage cash flow to ensure liquidity, optimize the cash cycle, and enhance free cash-flow.
  • Improve Financial Processes: In collaboration with the Financial Controller – Portfolio, conduct assessments, identify gaps and opportunities for automation, make recommendations, and assist in implementing changes to improve financial systems and processes.
  • Support Operational Improvements: Collaborate with Managing Directors to assess and implement operational improvements.
  • Ensure Tax Compliance: Assist in tax optimization reviews; manage tax filing processes, handle audits, and ensure compliance with all relevant accounting and tax regulations.
  • Maintain Financial Controls: Implement and uphold internal financial controls that secure our growth.
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