
Data Analyst- Treasury & Finance
Role summary
Charger Logistics Inc. is seeking a Data Analyst to support its Treasury and Accounting/Finance functions. This role is crucial for leveraging data to provide insights into cash flow, liquidity, and financial operations, thereby enhancing reporting, forecasting, and strategic decision-making. The analyst will collect, clean, and analyze financial data, build dashboards using tools like Power BI or Tableau, perform variance analysis, and support financial planning processes. Responsibilities also include automating reports, tracking FX exposure and debt movements, and developing standardized reporting for key treasury KPIs. The ideal candidate will have a Bachelor's degree in a relevant field, 2+ years of experience in finance/treasury/accounting analytics, strong Excel skills, and experience with visualization tools.
Charger logistics Inc. is a world- class asset-based carrier with locations across North America. With over 20 years of experience providing the best logistics solutions, Charger logistics has transformed into a world-class transport provider and continue to grow.
Charger logistics invests time and support into its employees to provide them with the room to learn and grow their expertise and work their way up. We are entrepreneurial-minded organization that welcomes and support individual idea and strategies. As we continue to scale, we are seeking a
Data Analyst
to support our
Treasury and Accounting/Finance functions
. This role is critical in leveraging data to provide insights into cash flow, liquidity, and financial operations, enhancing reporting, forecasting, and strategic decision-making.
Responsibilities:
- Collect, clean, and analyze
financial and treasury-related data
to provide actionable insights.
- Build and maintain dashboards (Power BI/Tableau) to monitor
cash positions, liquidity trends, working capital, and funding activities
.
- Perform
variance analysis
on cash flow forecasts, budgets, and financial statements, identifying key drivers of discrepancies.
- Analyze large datasets related to
bank balances, transactions, cash movements, and intercompany transfers
to detect patterns and anomalies.
- Support cash forecasting and
financial planning processes
by developing data models and improving forecast accuracy.
- Automate recurring financial reports and workflows using Excel, VBA, or other data tools.
- Track and analyze
foreign exchange (FX) exposure, interest costs, and debt movements
for reporting purposes.
- Develop standardized reporting for
global cash, debt, liquidity, and key treasury KPIs
.
- Collaborate with Treasury, Finance, and Accounting teams to translate business needs into
data-driven financial solutions
.
- Identify opportunities to improve
data quality, reporting efficiency, and decision-making processes
.
- Support ad hoc financial analysis and reporting related to treasury operations, working capital management, and strategic initiatives.
Requirements
- Bachelor's degree in
Accounting, Finance, Economics, or Data Analytics
.
- 2+ years of experience in
finance, treasury, or accounting analytics
roles.
- Strong proficiency in
Excel
(advanced formulas, pivot tables, data modeling); experience with VBA or scripting is a plus.
- Hands-on experience with
Power BI, Tableau, or similar visualization tools
.
- Solid understanding of
financial statements, cash flow management, forecasting, and treasury concepts
.
- Exposure to
cash management, liquidity planning, and FX operations
is an asset.
- Experience working with
financial systems and large datasets
preferred.
- Strong
analytical thinking and problem-solving skills
.
- Ability to
communicate complex financial insights clearly
to non-technical stakeholders.
- Comfortable working in a
fast-paced, dynamic environment
with evolving priorities.
Benefits
- Competitive Salary
- Healthcare Benefit Package
- Career Growth