Manager, Treasury & Risk

BURNCO Rock Products LtdCalgary, AB
Hybrid

About The Position

BURNCO is a leading supplier of construction materials, proudly serving communities across North America. We are committed to quality, safety, and customer service, and we’re building a team that reflects those same values. Are you a strategic treasury and risk professional who thrives on optimizing cash flow, managing financial risk and supporting business growth? We are hiring a Manager, Treasury & Risk for our Calgary head office. If you bring strong treasury experience, financial insight and the ability to balance risk and opportunity, we want to hear from you! The Manager, Treasury & Risk is responsible for overseeing the organization’s treasury operations, liquidity management, financial risk management strategies and insurance program. This role ensures optimal cash flow, effective capital deployment, and mitigation of financial risks related to interest rates and foreign exchange.

Requirements

  • Bachelor’s degree in Finance, Accounting or a related field, with CPA designation considered an asset
  • Five to eight years of progressive experience in treasury, corporate finance, risk management or a related area
  • Strong understanding of financial markets, debt instruments, liquidity management and risk mitigation strategies
  • Experience with treasury management systems, financial modeling and advanced Excel skills
  • Ability to analyze market trends and translate insights into practical business recommendations
  • Strong communication skills with the ability to influence and partner with senior leaders and cross-functional teams
  • High attention to detail with strong organizational, problem-solving and decision-making skills
  • Strategic mindset with the ability to balance risk, opportunity and business priorities
  • Proactive, collaborative and results-oriented approach with a focus on continuous improvement

Nice To Haves

  • Exposure to US operations, foreign exchange risk management and compliance environments considered an asset
  • Experience driving process improvements, automation or system enhancements in treasury considered an asset

Responsibilities

  • Lead daily cash management, including cash positioning, forecasting and liquidity planning
  • Optimize working capital and ensure funds are available for operational and strategic needs
  • Manage banking relationships, bank accounts and treasury systems
  • Oversee secure and efficient payment processes and cash disbursements
  • Support capital structure planning, debt management, covenant compliance and lender reporting
  • Participate in financing transactions, including debt issuance, refinancing and funding analysis
  • Identify, assess and manage financial risks, including foreign exchange and interest rate exposure
  • Develop and execute hedging strategies and maintain treasury risk controls
  • Manage global insurance programs, including renewals, coverage reviews and broker relationships
  • Ensure appropriate insurance coverage, deductibles, policy structures and documentation
  • Maintain treasury, risk management and insurance records, policies and procedures
  • Ensure compliance with internal policies, regulatory requirements and financial controls
  • Support internal and external audits related to treasury, risk and insurance activities
  • Prepare reports for senior management on liquidity, debt, insurance and risk exposure metrics
  • Provide financial analysis, insights and recommendations to support forecasting, budgeting and long-range planning
  • Build strong relationships with banking partners, insurers, brokers and internal stakeholders
  • Provide treasury and risk management expertise to leadership and cross-functional teams

Benefits

  • Annual performance bonus program
  • Competitive compensation
  • Comprehensive benefits package
  • Paid time off
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