Start Date ASAP
Contract Full-Time, Permanent
Hybrid Work Environment (3 days in office, 2 days remote with flexible hours)
Dress Code Business Casual
Location Downtown Toronto, Outside of Union Station (TTC & GO accessible)
A Great Place to Work
Kinross is a Canadian-based global senior gold mining company with operations and projects in the United States, Brazil, Mauritania, Chile and Canada. Our focus on delivering value is based on our four core values of Putting People First, Outstanding Corporate Citizenship, High Performance Culture, and Rigorous Financial Discipline. Kinross maintains listings on the Toronto Stock Exchange (symbol:K) and the New York Stock Exchange (symbol:KGC).
Mining responsibly is a priority for Kinross, and we foster a culture that makes responsible mining and operational success inseparable. In 2021, Kinross committed to a greenhouse gas reduction action plan as part of its Climate Change strategy, reached approximately 1 million beneficiaries through its community programs, and recycled 80% of the water used at our sites. We also achieved record high levels of local employment, with 99% of total workforce from within host countries, and advanced inclusion and diversity targets, including instituting a Global Inclusion and Diversity Leadership Council.
Eager to know more about us? Visit Home - Kinross Gold Corporation
To provide leadership to the performance of the Financial Reporting and Analysis ("FP&A") team (oversight of the Manager, Analyst, and Intern), this role is responsible for overseeing and providing leadership over Kinross' budgeting process, including preparation of consolidated budgets and forecasts, analysis to support the reasonability of the budgeted/forecasted results including risks and opportunities thereof, oversight of the analysis and internal reporting of actual results against budget, as well as other ad hoc projects and analysis. The role will work closely with the Financial Reporting and Operations Strategy groups to ensure the timely and accurate flow of information from the sites and through to different Corporate functions (e.g. Tax, Treasury, Operations Strategy, Maintenance, Corporate Development), with regular reporting and presentations of results and Budget/Forecasts to the Senior Leadership Team ("SLT"). This role will also assist in supporting the finance departments at the sites as it relates to budgeting and forecasting, monthly and quarterly reporting, application of corporate reporting policies (e.g. IFRS), and other financial and operational reporting-related issues or questions.
Budgeting and Forecasting
Monthly and Quarterly Analysis / Reporting
Analysis for Senior Management
Other Project Work
Education
Experience
Skills