Financial Analyst (Temporary/Contract)

Bruce PowerKincardine, ON
Onsite

About The Position

Bruce Power's Treasury, BPIF & Taxation Division is seeking a Financial Analyst to support the Assistant Treasurer in managing Pension, Investment Fund, and Treasury functions. This role involves ensuring compliance with legislation, policies, and agreements, and providing financial advice and support to team members. The successful candidate must be able to work under strict deadlines, independently, and produce quality output in a fast-paced environment. This is a temporary position, potentially up to 60 months, offering a competitive compensation package and the option to be based on-site at either Tiverton, ON or Toronto, ON. This posting aims to build a talent pipeline for future roles within the organization.

Requirements

  • Theoretical knowledge and relevant experience within the designated discipline is required.
  • Demonstrated ability to achieve task results consistent with requirements for safety, quality, quantity, timeliness, and resource allowance.
  • Able to demonstrate capability related to analytical thinking and problem solving, work planning and organizing, and communication skills.
  • Demonstrated motivation and commitment to achieving organizational goals and to continual improvement.
  • Demonstrated ability to work independently as well as part of a team and to lead others towards common goals.
  • Requires strong verbal and written communication skills.

Nice To Haves

  • A professional designation (i.e. CPA) is preferred.

Responsibilities

  • Provide support to the Finance department in carrying out accountabilities in accordance with applicable legislation, programs, policies, procedures and agreements.
  • Prepare daily analysis of the pension, investment fund, and treasury cash flow requirements.
  • Maintain custody reports and prepare monthly reconciliation reports, including the calculation of fund yields and analysis of realized/unrealized gains and losses.
  • Calculate and deposit employee and employer contributions as required.
  • Review and process invoices relating to the operation of the pension and investment funds.
  • Assist with investment performance measurement reporting, including the preparation of monthly and quarterly investment reports.
  • Assist in the preparation of annual financial statements using the applicable accounting framework.
  • Maintain appropriate fund accounting processes, including tracking of actual cash flows versus accruals.
  • Support treasury activities including cash management, banking administration, reporting, and liquidity monitoring.
  • Support controls oversight and compliance efforts.
  • Work with external auditors to efficiently support audit procedures and requests.
  • Support simplification and improvement efforts.
  • Perform other duties as required.

Benefits

  • Competitive compensation package
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service