Description:
The candidate will report to the Director, Capital Markets and will be responsible for:
- Financial risk management – identifying financial risk (foreign exchange, interest rate, equity, commodity, counterparty) and making recommendations on appropriate hedging strategies
- Evaluating financing proposals from dealers, including structured finance and leasing
- Supporting financing activity (debt and preferred equity issuance and rate resets, issuer bids, etc.)
- Capital structure analysis
- Managing the activity associated with these responsibilities (reporting, planning)
Critical Qualifications / Competencies:
- Strong background in Finance (2 years relevant experience)
- CFA designation (desired but not required)
- University degree in Finance, Engineering
- Excellent knowledge of financial markets and mathematics of derivatives
- Excellent verbal and written communication skills
- Excellent analytical skills
- Excellent computer and modelling skills
- Practical knowledge of hedge accounting
- Good management of ambiguous situations
- Good problem solving skills
- Strong team player, partnering skills
- Good project management skills