Vantage Airport Group Ltd.

  • Tax Analyst

    Job Locations CA-BC-Vancouver
    Job ID
    # of Openings
  • ­

    Tax, Treasury & Risk Analyst


    The Tax, Treasury & Risk Analyst works as a member of a small, fast-paced team and contributes to company’s success by delivery of financial services to support its global operations through overseeing operational and strategic projects. The Analyst will provide support on all aspects of Treasury operations activities, with cash management and reporting, cash forecasting, tax reporting, and insurance as primary focus of this position.

    This role is based in our corporate head office in Vancouver, BC.


    Key Responsibilities

    • Compile periodic cash flow reports, prepare cash budgeting and forecasting
    • Prepare balance sheet related budget and forecast information
    • Support hedging functions, including monthly hedging report preparation and annual hedging strategy preparation
    • Contribute to the global cash management strategy
    • Coordinate tax compliance activities; assist in tax related requirements during annual audit and tax audit process
    • Prepare current and future income tax calculations for financial reporting, assist in tax budgeting and forecasting
    • Support tax planning projects and annual transfer pricing review process
    • Coordinate insurance activities for corporate office and network airports, including day-to-day matters and queries, policy renewal, manage new policy set up process, and ensure contract requirements are met
    • Assist in all treasury and banking related matters as requested
    • Undertake special analyses and projects as directed



    You possess the following experience and abilities:

    • Degree or diploma in Finance, Accounting, Economics or related field
    • Two years of work experience in Tax/treasury/cash management roles
    • Working knowledge of Canadian tax and regulations, preferably with good understanding of U.S. tax
    • Ability to work under tight deadlines, prioritizing and multitasking
    • Relevant work experience in finance and treasury
    • Working knowledge on insurance preferable
    • Excellent communication (written and verbal), analytical and interpersonal skills
    • Strong computer skills, including high level proficiency with Microsoft Excel, and work knowledge on Microsoft Word and PowerPoint
    • Strong financial analysis ability, with a natural curiosity for the story behind the numbers
    • Solid understanding of accounting principles and practices
    • Strong logic, interpersonal, presentation and communication skills


    In addition to a competitive compensation and benefits package, career progression, access to a global team of talented professionals, we are growing and offer boundless opportunities to make your mark.  If you share our sense of adventure, come, and join us for the journey.


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