Consultant -Financial Planning & Analysis

Ingram MicroMississauga, ON
Hybrid

About The Position

Ingram Micro is a leading technology company for the global information technology ecosystem. With the ability to reach nearly 90% of the global population, we play a vital role in the worldwide IT sales channel, bringing products and services from technology manufacturers and cloud providers to business-to-business technology experts. Our market reach, diverse solutions and services portfolio, and digital platform Ingram Micro Xvantage™ set us apart. Learn more at www.ingrammicro.com Ingram Micro has earned Great Place to Work Certification™ for 2025-2026 in Canada! This prestigious recognition reflects our commitment to our people and our culture. Come join our team where you’ll make technology happen in surprising ways. Let’s shape tomorrow - it’ll be a fun journey! This position is a hybrid role based in our Mississauga office with the opportunity to work 3 days in the office and 2 days remotely per week.

Requirements

  • Bachelor's degree in Finance or additional relevant experience in a related field.
  • Minimum 5 years functional FP&A experience including a minimum of 3-5 years position specific experience ideally within operations.
  • Strong communication skills with the ability to effectively engage with both local Canadian and US‑based senior leadership.
  • Recognized subject matter expert with specialized knowledge.
  • Manages large projects or processes.
  • Provides solutions to a variety of advanced complex technical projects or business issues requiring state of the art technical or industry knowledge.
  • Complete understanding and wide application of advanced technical principles, theories and concepts in a specialized field.
  • Possess broad knowledge of professional field and other related functions.

Responsibilities

  • Responsible for the day-to-day financial activities of the Canadian operations centers as well as the Ingram Micro Lifecycle business division.
  • Control its financial resources and ensure that all financial transactions, systems and procedures comply with regulations, accounting principles, and standards.
  • Activities include: financial analysis and reporting, inventory and costs control (including operating expenses), and budgeting and forecasting.
  • Analyze the organization's revenues, liabilities, credit conditions, and other financial indicators to forecast it's short, medium, and long-term cash flow position.
  • Evaluate and recommend investments and other financial instruments to meet these cash flow needs.
  • Advise management on financial matters and the impact of laws and regulations on the organization.
  • Provide expertise and advice to managers to help them develop budgets, understand financial reports, and manage their financial responsibilities.
  • Present findings and recommendations to top executives.
  • Prepare financial reports. Reports may include auditor and financial analyst reports.
  • Ensure all declarations, and other required reports are submitted accurately and on time.
  • Select and manage relationships with consultants and advisors to ensure satisfactory standards of service.
  • Manage financial planning and analysis activities to identify risks and opportunities and contribute to the achievement of the organization's short and long-term financial goals.
  • Manage the most complex, large, or difficult analysis projects; evaluate findings, prepare reports and make recommendations to senior management about the financial implications of proposed investments and transactions.
  • Contribute to the development of financial strategies for a division or operating unit that align with the organization's overall vision and its current and long-term business objectives.
  • Establish and maintain positive, ongoing relationships with the external financial community.
  • Provides financial analysis and advice to management in accounting, Corporate investments, cost analysis, product pricing, financial/tax reporting and related financial areas.
  • Creates reports and summaries on a quarterly or regular basis as required by Corporate procedure or regulatory statute.
  • Analyze and forecast financial, economic, and other data to provide accurate and timely information for strategic and operational decisions.

Benefits

  • flexible Healthcare
  • Dental
  • Vision
  • well-being benefits and perks
  • critical illness
  • disability coverage
  • mental health support
  • paid time off
  • RRSP Matching
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