Overview
Director, Corporate Treasurer Jobs in Mississauga, Canada at IMAX
Be Part of the IMAX Experience.
For more than 50 years, IMAX has been a global leader in entertainment technology, redefining how stories are experienced on the world’s biggest screens. Our mission is to power awe-inspiring experiences for audiences around the world.
Our people make everything we do possible. We’re curious, creative, and driven by the belief that great work happens when people are trusted, heard, and supported. At IMAX, you’ll collaborate with purpose in an environment that values innovation, diverse perspectives, and learning at every stage.
We invest in people and empower them to thrive. Our culture is grounded in trust and shaped by a shared belief that our best work happens together. By championing curiosity and encouraging courageous thinking, we push the limits of imagination and create experiences that redefine what’s possible. Careers here are shaped with intention, achievements are shared, and people always come first.
With our global team spanning North America, Europe, and Asia, IMAX brings together proprietary software, world-class architecture, and cutting-edge technology with deep industry expertise. Together, we partner with leading filmmakers and studios, advance entertainment technology, and connect audiences around the world to The IMAX Experience.
Come explore IMAX and create what inspires.
About the Role:
The Director, Corporate Treasurer is a key strategic leader responsible for safeguarding and optimizing the Company’s global liquidity, capital structure, and financial risk profile, while enabling growth, shareholder returns, and financial resilience across market cycles.
This position reports to the CFO and is responsible for the strategic vision and management of cash liquidity and investments; management of investments and reporting of $400+ million portfolio; cash management and forecasting; coordinating relationships with banks, investment managers, and consultants; staying abreast of economic/market conditions and regulatory compliance.
KEY RESPONSIBILITIES
Enterprise Liquidity & Cash Management
Own the Company’s global liquidity strategy, ensuring sufficient cash availability to meet operational, strategic, and contingency needs across all entities
Oversee daily cash positioning, cash concentration, inter-company funding, and short-term investments in accordance with the Corporate Investment Policy
Manage compliance with all debt agreements, and management thereof
Sustained liquidity headroom under base and stress scenarios
Accuracy and reliability of short- and long-term cash forecasts
Effective deployment of excess cash consistent with policy and risk appetite
Cash Flow Forecasting, Analysis & Reporting
Lead the development and continuous improvement of entity-level and consolidated cash flow forecasting processes, including analysis of monthly liquidity movements and drivers
Provide clear, actionable treasury reporting to the CFO, SVP Finance, and Audit Committee
Forecast accuracy across short-, medium-, and long-term horizons
Timeliness, clarity, and usefulness of treasury reporting
Management confidence in cash visibility and liquidity insights
Capital Structure, Debt & Capital Markets Support
Manage borrowings and repayments under the Company’s credit facilities and ensure ongoing compliance with all covenant and reporting requirements. Support capital markets activities, including public or private debt financings, and contribute to capital allocation initiatives such as share repurchase programs
Full compliance with debt agreements and credit facility requirements
Optimization of interest expense and funding costs
Successful execution support of capital markets and capital return activities
Banking, Capital Provider & External Relationship Management
Serve as the primary relationship manager for banks, financial institutions, investment managers, and treasury service providers
Negotiate pricing and terms, evaluate new products and technologies, and ensure banking structures support efficient global cash operations
Competitive and transparent banking and service fee structures
Strong, resilient relationships with core financial partners
Title: Director, Corporate Treasurer
Company: IMAX
Location: Mississauga, Canada
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