Every generation has a challenge that defines them. At OPG, we are calling on all innovators, disruptors, thought leaders and change-makers. Join us as we work to electrify life in one generation and build a sustainable future powered by our electricity, our ideas, and our people. Join OPG and make history.
Whether you work in the skilled trades or are a business professional, a career at OPG is an opportunity to electrify your life on -- and off -- the job.
JOB OVERVIEW
Ontario Power Generation (OPG) is looking for a dynamic, strategic and results-driven professional to join our team in the role of Senior Manager, Treasury Special Projects & Subsidiary Initiatives.
Reporting to the Deputy Treasurer, this position will play a pivotal role in analyzing potential projects from a Treasury lens to recommend appropriate financing structure, and be instrumental in devising strategies to optimize long term debt programbalance sheet. In addition, secondary support will be provided for Liquidity Management; Financial Risk Management and Treasury OperationsInvestor Relations and Other ad-hoc projects as needed.
KEY ACCOUNTABILITIES
- Corporate and Project Specific Financing: Identify appropriate financing structure for projects by coordinating with internal and external stakeholders
- Conduct complex financial modeling and analysis to determine optimal financing solution.
- Work closely with the Company's various business unit leaders to provide Treasury advice and support as needed.
- Assist with development of specific reports in response to requests from Treasurer, Senior Management and/or Board of Directors as required.
- Work closely with bank partners to identify market leading solutions for financing and balance sheet management.
- Other Duties as Required
QUALIFICATIONS
- Bachelor's degree in finance, accounting, business, or engineering with a Master of Business Administration (MBA) is preferred.
- Professional designation (CFA, CPA/CA, or CTP) is considered an asset
- Minimum of 10 years’ proven experience and track record in corporate finance, corporate treasury, project finance or corporate credit with an in-depth understanding of capital markets, foreign currency/interest rate risk products and M&A transactions
- Well versed in complex financial modeling and financial risk assessment
- Strong judgment and ability to engage strategically to play a key role in supporting management decision-making.
- Strong communication and interpersonal skills; experience in building and maintaining productive relationships and partnerships across the business with various stakeholders internally and externally.
- Strong problem-solving skills, a strong drive and a high level of energy, commitment, and enthusiasm to take on complex and challenging situations.