BUSINESS ANALYST - TREASURY Job at Manitoba Hydro

Manitoba Hydro Winnipeg, MB

BUSINESS ANALYST – TREASURY
Winnipeg, MB

Manitoba Hydro is consistently recognized as one of Manitoba's Top Employers!

Great Benefits

Competitive salary and benefits package.
Defined-benefit pension plan.
Nine-day work cycle which normally results in every other Monday off, providing for a balanced approach to work, family life and
community.
Flex-time and partially remote work schedule (providing the option to work remotely two days per week), depending on nature of
work, operational requirements and work location.

Manitoba Hydro is a leader among energy companies in North America, recognized for providing highly reliable service and
exceptional customer satisfaction. Join our team of Manitoba's best as we continue to build a company that supports innovation,
commitment and customer service.

Under the general direction of the Senior Treasury Officer – Financial Markets, you would be responsible for a variety of functions
required to achieve Treasury and Corporate objectives relating to financial markets and cash management. This is a 12-16 month
term position with full-time hours.

Responsibilities:

  • Assist in the preparation of various corporate reports such as Manitoba Hydro's portion of the annual US Securities Exchange
Commission 18K filing for the Province of Manitoba.
  • Assist in the preparation of analysis for strategy documents such as the Debt Management Strategy.
  • Plan, organize and coordinate Treasury activities required to develop and file Public Utilities Board of Manitoba (PUB)
regulatory applications. Respond to information requests from the PUB and intervenors.
  • Prepare the Treasury-related financial statement notes in coordination with Corporate Accounting.
  • Assist with the update of the Corporate Cash Forecast and prepare and analyze cash forecast variances on a monthly basis.
  • Calculate, execute, record, and reconcile cash flows associated with investments held on behalf of subsidiaries.
  • Calculate the yield rates on new and existing debt and update floating rate debt on reset dates.
  • Prepare monthly statement of long-term debt.
  • Manage the partnership loans and equity advances, including calculation, recording and reconciliation of interest as well as
execution of new long term debt issuance.
  • Record, process and confirm the issuance of short-term debt. Prepare journal entries and reconcile outstanding balances in
SAP.
  • Calculate and confirm with the relevant counterparties all interest payments on long term debt. Prepare payment requisitions
for the timely and accurate payment of these obligations.
  • Prepare the weekly financial market update.
  • Develop and maintain industry comparatives database.
  • Develop and maintain collaborative working relationships with Manitoba Hydro staff, the Province of Manitoba Treasury
Division staff and Financial Institutions.
  • Responsible for monitoring and researching developments in world financial markets in order to keep abreast of current
issues related to the position.
  • Assists cash management with daily processes as required.

MANITOBA HYDRO IS COMMITTED TO DIVERSITY AND EMPLOYMENT EQUITY

Reference Code: CO56686931-01

Qualifications:

  • Professional Accounting designation (CPA) combined with four years of progressively responsible work experience,
demonstrating the skills and abilities required for the position.
OR
  • Four-year Bachelor degree (Commerce or related discipline) from a recognized university plus five years of progressively
responsible work experience and the demonstrated skill and abilities required for the position.
  • Demonstrated proficiency with Microsoft Office software including Excel, Word, PowerPoint, Access and Outlook.
  • Demonstrated analytical and research skills.
  • A basic understanding of the inter-relationships of economic and financial drivers.
  • Ability to work effectively both independently and in a team environment.
  • Demonstrated ability to develop and implement financial systems and controls necessary for the efficient operation of
Treasury.
  • Demonstrated ability to effectively communicate both verbally and in writing with internal and external contacts.
  • Demonstrated ability to apply mature judgment, tact, and discretion in making decisions on financial problems.

Salary Range

Starting salary will be commensurate with qualifications and experience. The range for the classification is $40.44-$55.80 Hourly,
$77,495.34-$106,932.80 Annually.

Apply Now!

Visit www.hydro.mb.ca/careers to learn more about this position and to apply online. The deadline for applications is APRIL 5,
2023.

We thank you for your interest and will contact you if you are selected for an interview.

This document is available in accessible formats upon request. Please let us know if you require any accommodations
during the recruitment process.




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