Finance Manager

Charger Logistics Inc

  • Dallas, TX
  • 5 days ago
  • Remote

    Highlights

    Headquartered in Brampton, Ontario, Charger has grown into a North American logistics organization offering transportation, warehousing, distribution, brokerage, and cross-border supply chain solutions. Strong communication and relationship-management skills with the ability to work effectively with banks, auditors, legal advisors, and senior leadership.

    Numbers & Facts

    LocationDallas, TX (
    Remote
    )

    Description

    Charger Logistics is a leading asset-based transportation and supply chain solutions provider with operations across Canada, the United States, and Mexico. Headquartered in Brampton, Ontario, Charger has grown into a North American logistics organization offering transportation, warehousing, distribution, brokerage, and cross-border supply chain solutions.

    We are seeking a detail-oriented and highly organized professional to join our Finance team as a Finance Manager.

    Responsibilities:

    • Lead monthly, quarterly, and annual financial reporting, ensuring accurate and timely financial statements and management reporting.
    • Manage treasury operations, including cash flow forecasting, liquidity planning, working capital, and daily cash positioning.
    • Oversee the company’s debt portfolio, including financing facilities, repayment schedules, interest costs, covenants, and refinancing requirements.
    • Maintain and develop banking relationships, managing day-to-day bank requirements and coordinating financing activities.
    • Negotiate with banks on credit facilities, interest rates, financing terms, fees, renewals, and refinancing arrangements to optimize funding costs.
    • Prepare cash flow forecasts, debt analysis, treasury reports, and financial insights for senior management and strategic decision-making.
    • Coordinate with banks, auditors, legal advisors, and other external stakeholders on financing, reporting, and compliance matters.
    • Monitor liquidity, funding requirements, financial risks, and debt maturities, proactively identifying potential issues and recommending solutions.

    Requirements

    • Bachelor’s degree in Finance, Accounting, Business, or a related field; CPA, CFA, MBA, or equivalent designation is an asset.
    • 5+ years of progressive experience in finance, treasury, banking, or corporate finance, preferably within a management capacity.
    • Strong experience in financial reporting, financial analysis, cash flow forecasting, and budgeting.
    • Demonstrated experience managing debt facilities, credit arrangements, financing requirements, and lender relationships.
    • Proven ability to negotiate with banks and financial institutions on financing terms, interest rates, credit facilities, renewals, and refinancing.
    • Strong knowledge of treasury management, liquidity planning, working capital, and cash management.
    • Strong communication and relationship-management skills with the ability to work effectively with banks, auditors, legal advisors, and senior leadership.
    • Advanced Excel and financial modelling skills, with experience using ERP/treasury systems and producing management reports.
    • Strong leadership, analytical, negotiation, and decision-making skills, with the ability to manage competing priorities.

    Benefits

    • Competitive compensation package
    • Healthcare Benefit Package
    • Career Growth

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