June 21, 2011

POSITION: Senior Financial Analyst - Treasury

LOCATION: Corporate Office

REPORTS TO: Director of Corporate Finance

QUALIFICATIONS:

·  A university degree in Accounting, Business or a related discipline is required

·  CA or CMA designation or currently enrolled in the CMA program

·  Five or more years of related financial experience

·  Strong knowledge and experience with Canadian GAAP, knowledge of US GAAP and IFRS would be an asset

·  Must be highly analytical with sound business judgment, proven documentation skills and attention to detail. Ability to evaluate financial reporting systems, accounting procedures and investment activities and make recommendations for changes to procedures and operating systems as needed.

·  Ability to discuss observations of financial information with corporate management.

·  Ability to research new accounting standards and present alternatives. Continuously maintain current knowledge of all organizational accounting practices through seminars, webinars and professional conferences as needed.

·  Ability to work in a fully computerized environment including advanced Excel and Word skills, knowledge of AS400, Cognos, Hyperion and IFS systems is an asset

·  Demonstrated organizational and problem solving skills

·  Ability to communicate effectively in both oral and written form

·  Team player willing to help out and multi-task

·  Ability to work in a fast paced environment with changing deadlines and willing to work overtime to meet deadlines when required

·  Confidentiality, discretion, integrity and judgment are critical

·  Committed to continuous improvement and learning

RESPONSIBILITIES:

·  Under general direction, responsible for conducting and documenting complex financial analysis projects.

·  May provide functional advice or training to the Financial Analysts.

·  Responsible for providing support to the Director of Corporate Financial in the global treasury function.

·  Responsible for daily cash management and liaising with banks on cash management issues.

·  Perform weekly treasury and debt reporting and monthly economic reporting for the Senior Executive Group.

·  Responsible for foreign exchange contract administration.

·  For quarterly compliance reporting on debt covenants.

·  Assist with the forecast and budget consolidation processes.

·  Support the year end audit process from a consolidated perspective.

·  Respond to inquiries in a positive and courteous manner.

Please forward resumes to the attention of Benita O’Beirn, Corporate Recruitment Specialist at

Linamar Corporation 287 Speedvale Ave., W., Guelph. Ontario, Canada, N1H 1C5 / Tel: 519 836 7550 Fax: 519 824 8479
linamar.com