Job DescriptionOur 2-year graduate program (undergraduate) will give you the opportunity to learn all aspects of the business and you will complete three rotations of 8 months:
- Rotation 1: Treasury
- Rotation 2: Corporate Accounting
- Rotation 3: Finance Regulatory Reporting
From day one, you'll make meaningful contributions to our business while developing your business acumen, sharpening your skills and growing your network. As a graduate you'll receive:
- Intentional, on-the-job learning supplemented with formal professional development
- Immersive experiences to build skills that are in demand today and in the future
- Transitional support catered to your unique needs as a student
- A cohort and network of peers, advisors and senior leader advocates
- Social and volunteer events that build meaningful connection
Responsibilities
- Responsible for daily cash management and liquidity position management in a multi-currency environment.
- Monitoring and reporting of daily reports and metrics.
- Production and review of annual and monthly reports
- Financial analysis, cash management, business partner
- Learn, develop and maintains spreadsheets and statistical models for financial analysis/projects.
- Prepares a variety of management presentations. Researches and resolves problems and errors in data from
Who we’re looking for
We’re looking for intellectually curious and creative thinkers who can think on their feet and thoughtfully react to a changing market.
Core Bahaviours
- Collaboration – Build partnerships and promote a culture of teamwork.
- Customer Centricity – Build strong customer relationships and deliver customer centric solutions.
- Drive for Results – Hold self and others accountable to consistently achieve meaningful results.
- Ethics & Trust – Maintain high ethical standards; gain the confidence and trust of others through honesty, integrity and authenticity.
- Inclusion – Build a culture of equity and inclusion in which diverse ideas, talent and perspectives are welcomed and encouraged.
- Risk - Appropriately identify and manage risks, in compliance with applicable laws, rules and regulations, and with Company Policy.
Basic qualifications:
- Pursuing a Bachelors degree or Masters in Accounting, Finance, Mathematics or equivalent discipline with a target completion date of May 2024 or recently graduated in 2023
- No more than 1 year's industry experience
- Ability to start graduate program on 2 Sept 2024
- High level of numeracy skills
- Strong written and verbal communication skills
- Strong excel skills
- Attention to detail
Preferred qualifications:
- A strong desire to learn / curious.
- Excellent interpersonal skills
- Understanding of finance and regulations
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