Manager, Corporate Liquidity Planning
Weston(1 month ago)
About this role
The Manager, Treasury at George Weston Limited is responsible for supporting cash flow forecasting and cash reporting across the George Weston group of companies. Reporting to the Senior Director, Treasury & Liquidity Management, the role focuses on developing treasury technical skills and foundational knowledge while supporting liquidity and working capital management. The position offers internal growth opportunities and involves collaboration with operating businesses across the enterprise.
Required Skills
- Liquidity Planning
- Cash Forecasting
- Cash Reporting
- Working Capital
- Financial Analysis
- Power BI
- Python
- Forecasting Models
- Statistical Modeling
- Treasury Systems
+4 more
Qualifications
- Degree in Finance/Business/Accounting
- CPA
- CFA
About Weston
weston.caGeorge Weston Limited is a Canadian public company, founded in 1882. George Weston has two operating segments: Loblaw Companies Limited, Canada’s largest food and drug retailer and a provider of financial services, and Choice Properties Real Estate Investment Trust, Canada’s largest and preeminent diversified REIT.
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