About the role
Finance Specialist Our client is seeking a Finance Specialist to support a broad range of financial operations, including treasury activities, cash management, financial reporting, and accounting support. This role will be responsible for managing daily financial transactions, supporting banking activities, monitoring cash positions, and ensuring accurate and timely financial processes. The ideal candidate will have experience in treasury, banking, or corporate finance environments, with strong analytical skills and the ability to collaborate with internal stakeholders and external banking partners. Key Responsibilities: Manage daily cash management activities, including monitoring cash positions, liquidity requirements, and funding needs. Execute and oversee treasury transactions, including electronic fund transfers, payments, and foreign exchange activities. Monitor foreign currency exposure and support FX transactions, including contract execution, settlement activities, and analysis of currency impacts. Maintain accurate banking records and monitor banking system interfaces to ensure transaction accuracy and data integrity. Perform account reconciliations, prepare journal entries, and support month-end and quarter-end financial reporting activities. Prepare financial reports, analysis, and presentations to support management decision-making and business planning. Support banking relationships and coordinate with internal finance teams on treasury and financing-related activities. Ensure compliance with treasury policies, internal controls, and financial procedures. Assist with audit requests, internal control documentation, and compliance testing activities. Provide accounting support on various financial and operational initiatives as required. Participate in process improvement initiatives, finance transformation projects, and system enhancements. Support and provide guidance to junior finance team members when required. Qualifications: University degree or college diploma in Finance, Accounting, Business Administration, or a related discipline. 3–6 years of experience in finance, treasury, banking, financial services, or accounting roles. Strong understanding of cash management, banking operations, treasury processes, and financial transactions. Knowledge of foreign exchange concepts, including FX contracts, spot pricing, currency exposure, and hedging strategies. Solid understanding of intermediate accounting principles, reconciliations, and financial reporting. Strong analytical skills with the ability to interpret financial data and identify trends or risks. Excellent attention to detail with strong organizational and problem-solving abilities. Ability to manage confidential financial information with discretion and professionalism. Strong communication skills with the ability to collaborate effectively with internal and external stakeholders. Technical Skills: Proficiency with Microsoft Excel, PowerPoint, and Word. Experience with ERP systems and electronic banking platforms. SAP and Power BI experience considered an asset. Experience with financial systems, reporting tools, and process improvement initiatives preferred. Additional Requirements: Strong written and verbal communication skills in English. Ability to work independently and manage multiple priorities in a fast-paced environment.
About Robert Half
Robert Half, the world’s first and largest specialized talent solutions firm, connects opportunities at great companies with highly skilled job seekers. We offer contract, temporary and permanent placement solutions for roles in finance and accounting, technology, marketing and creative, legal, and administrative and customer support. Named to Fortune’s World’s Most Admired Companies and 100 Best Companies to Work For® lists and a Forbes Best Employer for Diversity, Robert Half is the parent company of Protiviti®. Robert Half is traded on the New York Stock Exchange (symbol: RHI) and is a member of the S&P 500 index.
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About the role
Finance Specialist Our client is seeking a Finance Specialist to support a broad range of financial operations, including treasury activities, cash management, financial reporting, and accounting support. This role will be responsible for managing daily financial transactions, supporting banking activities, monitoring cash positions, and ensuring accurate and timely financial processes. The ideal candidate will have experience in treasury, banking, or corporate finance environments, with strong analytical skills and the ability to collaborate with internal stakeholders and external banking partners. Key Responsibilities: Manage daily cash management activities, including monitoring cash positions, liquidity requirements, and funding needs. Execute and oversee treasury transactions, including electronic fund transfers, payments, and foreign exchange activities. Monitor foreign currency exposure and support FX transactions, including contract execution, settlement activities, and analysis of currency impacts. Maintain accurate banking records and monitor banking system interfaces to ensure transaction accuracy and data integrity. Perform account reconciliations, prepare journal entries, and support month-end and quarter-end financial reporting activities. Prepare financial reports, analysis, and presentations to support management decision-making and business planning. Support banking relationships and coordinate with internal finance teams on treasury and financing-related activities. Ensure compliance with treasury policies, internal controls, and financial procedures. Assist with audit requests, internal control documentation, and compliance testing activities. Provide accounting support on various financial and operational initiatives as required. Participate in process improvement initiatives, finance transformation projects, and system enhancements. Support and provide guidance to junior finance team members when required. Qualifications: University degree or college diploma in Finance, Accounting, Business Administration, or a related discipline. 3–6 years of experience in finance, treasury, banking, financial services, or accounting roles. Strong understanding of cash management, banking operations, treasury processes, and financial transactions. Knowledge of foreign exchange concepts, including FX contracts, spot pricing, currency exposure, and hedging strategies. Solid understanding of intermediate accounting principles, reconciliations, and financial reporting. Strong analytical skills with the ability to interpret financial data and identify trends or risks. Excellent attention to detail with strong organizational and problem-solving abilities. Ability to manage confidential financial information with discretion and professionalism. Strong communication skills with the ability to collaborate effectively with internal and external stakeholders. Technical Skills: Proficiency with Microsoft Excel, PowerPoint, and Word. Experience with ERP systems and electronic banking platforms. SAP and Power BI experience considered an asset. Experience with financial systems, reporting tools, and process improvement initiatives preferred. Additional Requirements: Strong written and verbal communication skills in English. Ability to work independently and manage multiple priorities in a fast-paced environment.
About Robert Half
Robert Half, the world’s first and largest specialized talent solutions firm, connects opportunities at great companies with highly skilled job seekers. We offer contract, temporary and permanent placement solutions for roles in finance and accounting, technology, marketing and creative, legal, and administrative and customer support. Named to Fortune’s World’s Most Admired Companies and 100 Best Companies to Work For® lists and a Forbes Best Employer for Diversity, Robert Half is the parent company of Protiviti®. Robert Half is traded on the New York Stock Exchange (symbol: RHI) and is a member of the S&P 500 index.