Our Client
- Is a PE-backed Canadian rural internet service provider.
Please note this is a hybrid role, asking for three days a week in office, in Markham.
Key Responsibilities:
- Develop and execute capital structure strategies, including debt management, financing, and liquidity planning.
- Manage relationships with banks, rating agencies, and financial institutions.
- Oversee corporate insurance portfolio and broader treasury risk management.
- Lead financial modeling, stress testing, and loan covenant compliance.
- Support M\&A activities, including business valuations and due diligence.
- Assist in board reporting, capital allocation, and treasury budgeting.
- Monitor financial trends, competitor behavior, and shareholder issues.
Experience Required:
- Minimum 5 years in a treasury role (manager level or above) with deal execution experience.
- Industry experience in capital-intensive sectors (e.g., mining, infrastructure, or similar). Telecom experience is preferred but not mandatory.
- Strong transactional experience, including raising capital, negotiating credit agreements, and debt structuring.
- Exposure to multiple business cycles and a deep understanding of financial markets.
Education \& Skills:
- Bachelor's degree in finance, accounting, or engineering.
- MBA, CFA, or CPA preferred.