Finance Manager Hybrid

Ottawa (ON) Both (on-site & remote)
Opportunity Number: 2068317
PermanentUp to: $100,000.00
Professional ServicesFinance & Accounting
LanguageSecurity Clearance
English verbal and writtenNot required
Start PeriodDate Posted
Two weeks +Friday, January 7, 2022
Job Description

One of our fantastic clients in Ottawa is seeking a Finance Manager to join their start up accounting department. We are seeking out a candidate who is innovative, a go-getter, and someone who can bring new ideas/controls/processes to our clients organization. This is an exciting opportunity with an attractive total compensation package include benefits allowance, lifestyle allowance and a hybrid work model from day one. Hours are standard working hours, Monday to Friday, between 8am-5pm.

Roles and Responsibilities

  • Prepare or oversee the preparation of financial reports, such as income statements, balance sheets, and analyses of future earnings or expenses
  • Produce clear, useful performance reports across product and service categories
  • Analyze, summarize, and present key company financials on a monthly, quarterly, and annual basis
  • Prepare and present financial projections based on potential endeavours and investments
  • Conduct, summarize, and present ongoing research into industry trends, developments & movements
  • Work to establish, monitor, and manage annual internal budgets across departments
  • Work with company leadership to establish short, medium, and long term financial growth targets and advise on financial strategy across departments to meet targets
  • Develop, implement, and advise on strategy specific to ongoing, sustainable growth of our e-commerce division (marketing, sales, operations, etc.)
  • Evaluate financial reporting systems, accounting and collection procedures, and investment activities, and make recommendations for changes to procedures, operating systems, budgets, and other financial control functions
  • Oversee the investment of funds, manage associated risks, supervise cash management activities, and assess capital-raising opportunities to support the company's expansion
  • Work closely with the financial admin team to assess, monitor & improve existing systems - researching and implementing new tools, software, systems etc. when needed

Qualifications and Experience
  • Superior leadership, management, and organizational skills
  • Proven ability to balance competing stakeholder demands + priorities
  • Outstanding written and verbal communication skills
  • Demonstrated understanding of complex interdepartmental operations
  • Proven ability to make decisions in alignment with company goals and objectives
  • Occasional regional and international travel may be required
Nice to have:

  • Pursuit or completion of CPA designation

Education and Certifications

Minimum education required: College Diploma

Please apply today. For more information about this role please reach out to

We’re an equal opportunities employer committed to increasing diversity and inclusion in today’s workforce. All qualified applicants will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, genetics, disability, age, or veteran status. Minorities, women, LGBTQ candidates, and individuals with disabilities are encouraged to apply. If you require an accommodation, please review our accessibility policy and reach out to our accessibility officer with any questions.
Merci de l’intérêt que vous manifestez pour ce poste. La description du poste nous a été fournie en anglais par notre client. Si vous souhaitez passer l’entrevue avec nous en français ou fournir votre CV en français, nous vous confierons à une personne de notre équipe qui parle français.

Opportunity Number: 2068317

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