Thierry Christel Nga
@thierrychristelnga
Dynamic finance professional with expertise in Treasury and FP&A.
What I'm looking for
I am a dynamic and results-driven finance professional with over 5 years of experience in Treasury and Financial Planning & Analysis (FP&A). My expertise lies in cash flow management, financial forecasting, budgeting, variance analysis, and data-driven decision-making. I have a proven ability to optimize financial processes, manage banking relationships, and transform raw financial and non-financial data into actionable insights.
Throughout my career, I have successfully managed multi-currency cash positions and foreign exchange payments, reducing currency risks by 15%. I improved cash flow forecasting accuracy by 20% through detailed variance analysis and proactive financial planning. My experience includes creating interactive dashboards using Power BI and SAP, which have enhanced decision-making processes across various teams.
I am seeking a challenging role in Treasury or FP&A where I can leverage my analytical skills and financial expertise to drive organizational success. I am passionate about ensuring compliance with legal and regulatory requirements while collaborating with other finance teams to provide clear insights using the data available.
Experience
Work history, roles, and key accomplishments
Treasury Analyst
Buy It Direct
Mar 2023 - Present (2 years 2 months)
Monitored daily cash positions, cash flows, and allocations, ensuring accurate and timely payments. Managed foreign currency payments and maintained robust controls to mitigate currency risks. Assisted in budget creation, forecasting, and produced detailed treasury reports to support strategic decision-making.
Senior Treasurer
Otera Capital
Sep 2021 - Present (3 years 8 months)
Oversaw daily cash positions for the main company and subsidiaries across Canada, USA, and UK. Created interactive dashboards using SAP and extracted data from Bloomberg for loan interest analysis. Managed and approved multiple bank transfers and monthly bank reconciliations.
FP&A Analyst
Jean Coutu Group
Feb 2021 - Present (4 years 3 months)
Led the budgeting and reforecasting processes, analyzing variances between budget and actuals. Produced monthly financial statements and margin analysis for pharmaceutical divisions. Designed interactive and adjustable templates using Power BI to generate specific information.
FP&A Analyst
Bombardier
Sep 2019 - Present (5 years 8 months)
Assisted in preparing annual budgets and quarterly forecasts, improving monthly cash flow projections. Analyzed and commented on variances between actuals, forecasts, and budgets, focusing on cost drivers. Supported month-end processes, including journal postings, accruals, and reconciliations.
Treasury Analyst
Uni-Select
Nov 2017 - Present (7 years 6 months)
Analyzed cash positions, cash flows, and allocations, providing recommendations to senior treasury management. Managed end-to-end payment processes, including company cheques and intercompany payments. Prepared monthly and quarterly reports on exchange rates, SWAPs, and intercompany transactions.
Education
Degrees, certifications, and relevant coursework
University of Quebec, Faculty of Science and Management
Master’s in Applied Finance, Applied Finance
Completed a Master's degree focusing on applied finance. Gained expertise in various financial concepts and their practical applications.
Adventist Cosendai University
Bachelor’s in Business Management, Business Management
Obtained a Bachelor's degree in Business Management. Developed a strong foundation in business principles and management practices.
Availability
Location
Authorized to work in
Interested in hiring Thierry Christel?
You can contact Thierry Christel and 90k+ other talented remote workers on Himalayas.
Message Thierry ChristelFind your dream job
Sign up now and join over 85,000 remote workers who receive personalized job alerts, curated job matches, and more for free!
