About this role
This role offers an opportunity to start a finance career within Enbridge's Treasury team, focusing on cash forecasting and Treasury operations. The position involves supporting short-term financing activities and collaborating with various organizational functions to ensure accurate cash management. It is a temporary, full-time role designed for individuals interested in gaining practical financial experience.
Required Skills
- Cash Forecasting
- Treasury Operations
- SAP
- Kyriba
- Openlink
- Financial Analysis
- Cash Management
- Foreign Exchange
- Credit Facilities
- Financial Systems