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Manager of Financial Planning & Analysis


Status: Full-time, permanent position | Location: Vaudreuil-Dorion, QC
Report To: Director of Finance | Service: Finances

OVERVIEW

The Manager of FP&A is a key leadership role responsible for overseeing financial reporting, planning, and analysis. This role requires strong financial acumen, strategic thinking, and the ability to provide high-quality insights to senior management. The individual will play a critical role in budgeting,  inancial forecasting, and decision-making processes while also supporting treasury operations and financial system enhancements.
 

RESPONSIBILITIES

Financial Reporting & FP&A
  • Take ownership of financial reporting and FP&A processes, ensuring accuracy and compliance.
  • Accountable for reviewing financial reports, including variance analysis, forecasts, and operational performance metrics.
  • Prepare and present various metrics and financial reports for Internal stake holders, ensuring key insights are highlighted for strategic discussions.

Budgeting & Forecasting
  • Act as the right-hand person in the annual budgeting process and ongoing forecasting improvements.
  • Collaborate with cross-functional teams to develop more efficient budgeting methodologies.
  • Identify opportunities for process automation and enhancements to improve budget accuracy and efficiency.

Project Support & Financial Systems (BI, Dashboards, SAC, etc.)
  • Support and contribute to financial system transformation projects, including Business Intelligence (BI), dashboards, and analytics tools (SAC or alternative cost-effective solutions).
  • Partner with IT and finance teams to enhance data-driven decision-making through improved reporting tools and system capabilities.
  
Treasury & Cash Flow Management
  • Assist in treasury operations by developing and improving cash flow models to optimize liquidity management.
  • Provide strategic insights into working capital planning and cash forecasting.

 Business Case Optimization & Project Tracking
  • Lead the business case process optimization, ensuring robust financial models and ROI analysis for strategic initiatives.
  • Help implement and maintain post-go-live project measurement and tracking frameworks, ensuring projects deliver expected financial and operational benefits.
 

QUALIFICATIONS AND SKILLS

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field (MBA or CPA preferred).
  • 3+ years of experience in FP&A, financial reporting, and budgeting within a complex organization.
  • Experience with cash flow modeling and treasury operations.
  • Proven ability to present financial insights to senior leadership and steering committees.
  • Excellent analytical, problem-solving, and communication skills.
  • Ability to manage multiple projects in a fast-paced environment and drive continuous improvement initiatives.
  • Master the Office suite. (Advanced Excel required).
  • Prior knowledge of SAP is an asset.
  • Prior knowledge of BI tools (SAP Analytics Cloud, Power BI) is an asset
  • Proficiency in French is essential, and proficiency in English is also required to meet the needs of the position.

Headquarters

 

Monday – Friday: 9:00 am – 17:00 pm EST
+1.450.455.9877  |  +1.877.833.9877 (toll-free)


Customer Service/Place an Order

 

Monday – Friday: 9:00 am – 18:00 pm EST
+1.800.663.4896 (toll-free)


Montreal Headquarters

135 rue du Cheminot
Vaudreuil-Dorion, QC
J7V 5V5  |    View on Google Maps


Calgary Warehouse

4770 68 Avenue SE, Unit B

Calgary, AB  

T2C 4M7  |    View on Google Maps

 

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