Description

Lead Treasury operations at George Weston Limited in Toronto, Ontario, focusing on working capital and liquidity management. This role demands strategic oversight, team collaboration, and innovative cash flow solutions.<br/><br/>As the Director of Treasury for the George Weston Group, youll report to the VP, Treasury. This senior position requires at least six years of Corporate Treasury experience, with three years in leadership. Your expertise in cash forecasting, team development, and liquidity optimization will be essential in driving organizational success.<br/><br/>Key Responsibilities:
• Create a liquidity funding plan aligned with capital allocation
• Develop partnerships to assess future liquidity requirements
• Improve short-term cash flow forecasts across the enterprise
• Oversee Loblaw Supplier Finance program and financial targets
• Review key performance indicators related to working capital<br/><br/>Requirements:
• CPA designation required; MBA/CFA/CTP advantageous
• 6+ years in Corporate Treasury; retail experience preferred
• Proven leadership in dynamic environments
• Strong communication skills for all organizational levels
• Experience with Power BI/DAX and Python is an asset<br/><br/>Drive treasury excellence and innovation while building a high-performance team at George Weston Limited.

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