Job Description
Manager, Foreign Exchange & Consolidation
📍 Location: Toronto, ON
🏢 Work Model: Hybrid
⏳ Term: 6-month contract to start, with potential to convert
🏦 Industry: Financial Services
About the Opportunity
A leading financial services organization is looking for a Manager, Foreign Exchange & Consolidation to join a high-impact finance team supporting enterprise-level reporting, consolidation, FX analysis, and financial close.
This is a great opportunity for someone who enjoys working with complex legal entity structures, multiple currencies, intercompany activity, and consolidated financial statements. The role works closely with finance leadership and partners cross-functionally with accounting, treasury, controllership, and reporting teams.
What You’ll Be Doing
✅ Support enterprise-level consolidation and financial close activities
✅ Review and analyze multi-currency financial results across multiple legal entities
✅ Validate FX revaluation and FX translation impacts during close
✅ Support treasury with FX exposure analysis and required reporting
✅ Prepare and review consolidation adjustments, intercompany items, and reporting schedules
✅ Support consolidated income statement, balance sheet, cash flow, and notes/disclosures
✅ Work with large datasets using Excel, Power BI, Power Query, or similar tools
✅ Partner with finance, treasury, accounting, and reporting teams to resolve complex accounting issues
What We’re Looking For
🔹 Experience with FX revaluation, FX translation, and multi-currency reporting
🔹 Hands-on consolidation experience at a group, platform, head office, or enterprise level
🔹 Strong understanding of multi-entity accounting, legal entity structures, and intercompany transactions/eliminations
🔹 Experience with month-end / quarter-end close, journal entries, reconciliations, and operational accounting
🔹 Experience supporting consolidated financial statements, including income statement, balance sheet, cash flow, and notes/disclosures
🔹 Strong Excel skills with Power BI, Power Query, Alteryx, or similar tools
🔹 CPA, CPA in progress, or similar accounting designation
Nice to Have
⭐ Banking or broader financial services experience
⭐ SAP GL or similar ERP experience
⭐ Experience supporting treasury, FX exposure, or hedge-related reporting
⭐ Public company, multinational, or large corporate environment experience
Why This Role Stands Out
🚀 High-visibility role supporting enterprise-level consolidation and FX reporting
📊 Strong mix of accounting, data, treasury, systems, and reporting exposure
🤝 Opportunity to work closely with senior stakeholders
🔁 Initial 6-month contract with potential contract-to-hire pathway
🏢 Hybrid work arrangement in the GTA
Send RESUME to Divya@ifgpr.com with the subject line”Manager, Foreign Exchange & Consolidation”
