
Financial Controller
Posted 1 day ago

Posted 1 day ago
This is a fully remote position, open to applicants in Canada.
• Supervise cash management, liquidity planning, and both short- and long-term cash flow forecasting.
• Manage relationships with banks, credit facilities, and treasury operations.
• Enhance working capital management across accounts receivable, accounts payable, and various balance sheet components.
• Direct corporate tax compliance and planning initiatives.
• Oversee SR&ED claims along with associated documentation and submissions.
• Spearhead annual budgeting, periodic forecasting, and long-term financial strategy.
• Provide financial analysis to support strategic and operational decision-making.
• Collaborate with business leaders to evaluate performance, investments, and key initiatives.
• Lead and assist in strategic projects, including M&A activities and the integration of acquisitions.
• Partner across functions for due diligence, financial analysis, process alignment, and integration planning.
• Prepare precise monthly, quarterly, and annual financial statements.
• Deliver comprehensive management, consolidation, and portfolio roll-up reports.
• Uphold internal controls and accounting policies in line with IFRS and relevant standards.
• Manage the external audit process and associated deliverables.
• Enhance reporting processes, systems, and data integrity.
• Lead, mentor, and cultivate the finance team.
• Set objectives, performance expectations, and accountability standards.
• Develop scalable financial processes and encourage continuous improvement.
• Oversee cash management, liquidity planning, and both short- and long-term cash flow forecasting.
• Manage banking relationships, credit facilities, and treasury operations.
• Optimize working capital across accounts receivable, accounts payable, and other balance sheet elements.
• Ensure effective controls and transparency over cash and funding positions.
• Lead corporate tax compliance and planning initiatives.
• Oversee SR&ED claims along with relevant documentation and filings.
• Coordinate with external tax advisors and auditors.
• Lead annual budgeting, periodic forecasting, and long-term financial planning.
• Provide timely and accurate financial analysis for strategic and operational decision-making.
• Collaborate with business leaders to evaluate performance, investments, and key initiatives.
• Monitor financial risks and variances, offering recommendations to management.
• Lead and support M&A and acquisition integration projects.
• Conduct due diligence, financial analysis, process alignment, and integration planning.
• Prepare monthly, quarterly, and annual financial statements.
• Deliver management, consolidation, and portfolio roll-up reporting.
• Maintain internal controls and accounting policies in accordance with IFRS and applicable standards.
• Manage external audit processes and deliverables.
• Lead, mentor, and develop the finance team.
• Competitive salary.
• Company Match Plan.
• Group Benefits.
• Flexible work environment.
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