Home › Companies › McKinney › Finance Manager
Finance Manager
McKinney · Toronto, ON, CAN · Hybrid · Active · $90,500–$125,000 / year · Greenhouse
Job facts
| Field | Value |
|---|---|
| Company | McKinney |
| Title | Finance Manager |
| Normalized title | - |
| Department / team | Finance |
| Location | Toronto, ON, Canada |
| Work model | Hybrid / Hybrid |
| Employment type | - |
| Salary | $90,500–$125,000 / year |
| Status | active |
| ATS provider | Greenhouse |
| Posted / first seen | 2026-02-04 / 2026-05-29 |
| Changed / last seen | 2026-05-29 / 2026-06-06 |
Related slices
| Page | What it contains | Open |
|---|---|---|
| Company jobs | Active postings from McKinney. | Open |
| Company breakdowns | Role, location, ATS, and work model facets for this company. | Open |
| ATS provider jobs | Active postings observed through Greenhouse. | Open |
| Provider filtered search | The same provider as a filtered job collection. | Open |
| City jobs | Active postings in Toronto. | Open |
| Department jobs | Active postings in Finance. | Open |
| Work model jobs | Active Hybrid postings. | Open |
| Lifecycle events | Open, update, close, and reopen events for this posting. | Open |
| Original posting | Canonical source or apply URL captured from the ATS. | Open |
Linked records
| Company | McKinney |
| Source | 15a6546f-ad13-4748-b901-3bad3fd97d78 |
| ATS provider | Greenhouse |
Description
Role Overview
The Finance Manager, FP&A is responsible for leading financial planning, analysis, and operational finance for the Canadian business within a service-based advertising and technology-enabled agency environment. This role is the primary finance partner for Canada, ensuring strong financial governance, accurate reporting, and actionable insight to drive performance.
Reporting into the US-based Head of Network Finance for the Cheil Agency Network, this position works cross-functionally with Canadian leadership and global finance stakeholders, supports treasury and payroll operations, and ensures Canadian compliance
(tax, audit, and statutory requirements). The role provides financial analysis and deal support while escalating commercial terms and high-value approvals per established leadership thresholds.
Key Responsibilities
Financial Planning & Analysis (FP&A)
Own monthly, quarterly, and annual forecasting and budgeting processes for the Canadian business.
Deliver executive-ready reporting packages with clear variance analysis, forward- looking insights, and performance commentary.
Build and maintain financial models for revenue, resourcing, utilization, and profitability in a service-based delivery model.
Partner with operational leaders and account teams to monitor margin performance,
cost drivers, and delivery health.
Financial Reporting, Close, and Controls
Oversee the monthly close process in NetSuite for the Canadian entity, ensuring accuracy and timeliness of the P&L and balance sheet.
Maintain strong balance sheet discipline including reconciliations, accruals, and working capital oversight.
Ensure alignment with network reporting requirements and support consolidation needs for US-based finance leadership.
Maintain and enhance internal controls, policies, and documentation to support audit readiness and compliance.
Treasury & Cash Management
Manage day-to-day treasury operations including cash forecasting and liquidity planning.
Oversee foreign exchange exposure and related processes (e.g., FX monitoring, execution support, and reporting).
Collaborate with AR/AP stakeholders to optimize cash flow, reduce aging, and mitigate financial risk.
Payroll & People
Oversee payroll administration through ADP, ensuring accurate and compliant processing across provinces.
Partner with HR on headcount planning, compensation forecasting, and benefits coordination as required.
Ensure payroll practices align with applicable provincial requirements and internal policy.
Tax, Audit & Compliance
Manage Canadian tax compliance, including GST/HST/QST filings and coordination of corporate tax requirements with external advisors.
Ensure compliance with multi-province legal and regulatory considerations relevant to finance operations.
Serve as the primary finance contact for both internal and external auditors and advisors for Canadian audits/reviews; coordinate PBC requests and drive timely completion.
Support year-end statutory reporting and filings as needed.
Contracts, SOW/MSA Review & Commercial Support
Review Statements of Work (SOWs) and certain Master Service Agreements (MSAs) for financial risk, operational feasibility, and margin implications.
Provide deal economics analysis (e.g., staffing assumptions, cost-to-serve, margin expectations) and present recommendations to leadership.
Escalation/Approvals: Anything over $500K must be escalated to Head of Network Finance and Cheil Agency Network General Counsel
Systems, Data & Process Improvement
Act as a key Canadian finance systems owner/user for NetSuite and ADP, ensuring data integrity and reporting accuracy.
Apply strong data analytics capabilities to improve insight, reporting quality, and forecasting accuracy.
Identify and implement process improvements and automation opportunities across reporting, close, and planning cycles.
Qualifications & Experience
Bachelor's degree or Canadian equivalent in Finance, Accounting, Business, or a related field (CPA strongly preferred).
7+ years of progressive finance experience, ideally within an advertising agency, professional services, or tech-enabled services organization (service-based delivery model).
Proven ability to manage and develop an integrated finance team, driving collaboration across FP&A, accounting, and operational finance.
Demonstrated success working in an international / inter-country environment, including reporting into US-based leadership and operating in a matrixed organization.
Strong understanding of financial statements with deep expertise across P&L and balance sheet drivers (and their impact on cash/working capital).
Working knowledge of Canadian taxation (including GST/HST/QST) and experience coordinating tax compliance with external advisors.
Experience supporting audit processes (internal and external), including strong documentation, control discipline, and PBC management.
Experience reviewing/working with SOWs and MSAs in a client services environment.
Systems proficiency: NetSuite and ADP, plus advanced Excel and financial modeling skills.
Strong data analytics capability; able to synthesize large datasets into meaningful insights and recommendations.
Excellent executive presence with strong presentation skills—able to communicate complex financial topics clearly to non-finance stakeholders.
Ability to travel occasionally (limited) for leadership meetings, planning cycles, or audit-related needs.
Key Competencies
Strategic, business-partner mindset with strong judgment and accountability.
Highly organized, deadline-driven, and comfortable operating with autonomy.
Confident communicator who can influence across functions, levels, and geographies.
Proactive problem solver with a continuous improvement orientation.
Comfortable in a fast-paced, creative agency environment while maintaining financial rigor.
Salary Range
Our estimated compensation for this role is $90,500 - $125,000 CAD
Right To Work In Canada
You must be authorized to work in Canada for any employer. At this time, we are not sponsoring or providing assistance with obtaining work authorization.
McKinney is a place where everyone can grow. Studies have shown that marginalized communities such as women, LGBTQ+ and people of color are less likely to apply to jobs unless they meet every single qualification. However you identify, and whatever background you bring with you, please apply if this is a role that would make you excited to come into work every day.
We are in the office Tuesday/Wednesday/Thursday on a hybrid schedule. We look forward to meeting you!
Full job record
| Job ID | a5bb9483d5cdceccec43f63c16eafa3afeab7be4 |
| Org ID | 18dbbf0f-87cd-4e85-9b6b-6e64333a0184 |
| Source ID | 15a6546f-ad13-4748-b901-3bad3fd97d78 |
| Board ID | 15a6546f-ad13-4748-b901-3bad3fd97d78 |
| Provider | greenhouse |
| Provider Job Key | 7589233 |
| Title | Finance Manager |
| Normalized Title | — |
| Status | active |
| Active | yes |
| Location Text | Toronto, ON, CAN |
| Department | Finance |
| Team | — |
| Employment Type | — |
| Workplace Type | hybrid |
| Remote Policy | hybrid |
| Country | Canada |
| Region | ON |
| City | Toronto |
| Salary Raw | Salary Range Our estimated compensation for this role is $90,500 - $125,000 CAD Right To Work In Canada You must be authorized to work in Canada for any em |
| Salary Min | 90,500 |
| Salary Max | 125,000 |
| Salary Currency | USD |
| Salary Period | year |
| Source URL | https://job-boards.greenhouse.io/jobsmckinneycom/jobs/7589233 |
| Apply URL | https://job-boards.greenhouse.io/jobsmckinneycom/jobs/7589233 |
| First Seen At | 2026-05-29 22:56:49Z |
| Last Seen At | 2026-06-06 19:23:47Z |
| Last Checked At | 2026-06-06 19:23:47Z |
| Last Changed At | 2026-05-29 22:56:49Z |
| Inactive At | — |
| Source Posted At | 2026-02-04 18:16:58Z |
| Source Updated At | 2026-02-05 19:01:17Z |
| Raw Payload Uri | s3://job-postings-prod-raw-590183727216/raw/provider=greenhouse/board=jobsmckinneycom/date=2026-06-06/2026-06-06T19-23-47-779Z-06e6c465a95c28f8838738a4b4ebf5af4470da71dcc8b5a857c249c2bcc10446.json |
Event Fields
{
"content_hash": "288cfc6586467587a5b2815679f305a720e9a1eb1689afa9236da366711e2d49",
"source_hash": "cbf02f92e4f9ef06c792023aab72bd6cf4c39f79db8a6d12af0a1ebe49bee50f",
"last_changed_at": "2026-05-29T22:56:49.936Z",
"active_status": "active"
}Parsed Structured
{
"language": "en",
"location": {
"raw": "Toronto, ON, CAN",
"city": "Toronto",
"region": "ON",
"country": "Canada",
"is_remote": false,
"confidence": 0.95
},
"salary_max": 125000,
"salary_min": 90500,
"inferred_at": "2026-06-06T19:23:47.872Z",
"launch_scope": {
"reason": "english_us_canada",
"included": true,
"language": "en",
"location": {
"raw": "Toronto, ON, CAN",
"city": "Toronto",
"region": "ON",
"country": "Canada",
"is_remote": false,
"confidence": 0.95
},
"countries": [
"Canada",
"United States"
]
},
"remote_policy": "hybrid",
"salary_period": "year",
"workplace_type": "hybrid",
"salary_currency": "USD"
}Extensions
{}Native Structured
{
"title": "Finance Manager",
"offices": [
{
"id": 78365,
"name": "Dallas, Texas",
"location": "Texas, United States",
"child_ids": [],
"parent_id": null
},
{
"id": 19760,
"name": "Durham, NC",
"location": "Durham, NC, United States",
"child_ids": [],
"parent_id": null
},
{
"id": 63680,
"name": "Los Angeles, CA",
"location": "Los Angeles, California, United States",
"child_ids": [],
"parent_id": null
},
{
"id": 19762,
"name": "New York, NY",
"location": "New York, NY, United States",
"child_ids": [],
"parent_id": null
},
{
"id": 88589,
"name": "Phoenix, AZ",
"location": "Phoenix, Arizona, United States",
"child_ids": [],
"parent_id": null
}
],
"language": "en",
"location": {
"name": "Toronto, ON, CAN"
},
"metadata": [
{
"id": 110089,
"name": "Job Description Preview",
"value": "Role Overview\nThe Finance Manager, FP&A is responsible for leading financial planning, analysis, and\noperational finance for the Canadian business within a service-based advertising and\ntechnology-enabled agency environment. This role is the primary finance partner for\nCanada, ensuring strong financial governance, accurate reporting, and actionable insight to\ndrive performance.\nReporting into the US-based Head of Network Finance for the Cheil Agency Network, this\nposition works cross-functionally with Canadian leadership and global finance\nstakeholders, supports treasury and payroll operations, and ensures Canadian compliance\n(tax, audit, and statutory requirements). The role provides financial analysis and deal\nsupport while escalating commercial terms and high-value approvals per established\nleadership thresholds.\nKey Responsibilities\nFinancial Planning & Analysis (FP&A)\n Own monthly, quarterly, and annual forecasting and budgeting processes for the\nCanadian business.\n Deliver executive-ready reporting packages with clear variance analysis, forward-\nlooking insights, and performance commentary.\n Build and maintain financial models for revenue, resourcing, utilization, and\nprofitability in a service-based delivery model.\n Partner with operational leaders and account teams to monitor margin performance,\ncost drivers, and delivery health.\nFinancial Reporting, Close, and Controls\n Oversee the monthly close process in NetSuite for the Canadian entity, ensuring\naccuracy and timeliness of the P&L and balance sheet.\n\n Maintain strong balance sheet discipline including reconciliations, accruals, and\nworking capital oversight.\n Ensure alignment with network reporting requirements and support consolidation\nneeds for US-based finance leadership.\n Maintain and enhance internal controls, policies, and documentation to support audit\nreadiness and compliance.\nTreasury & Cash Management\n Manage day-to-day treasury operations including cash forecasting and liquidity\nplanning.\n Oversee foreign exchange exposure and related processes (e.g., FX monitoring,\nexecution support, and reporting).\n Collaborate with AR/AP stakeholders to optimize cash flow, reduce aging, and mitigate\nfinancial risk.\nPayroll & People\n Oversee payroll administration through ADP, ensuring accurate and compliant\nprocessing across provinces.\n Partner with HR on headcount planning, compensation forecasting, and benefits\ncoordination as required.\n Ensure payroll practices align with applicable provincial requirements and internal\npolicy.\nTax, Audit & Compliance\n Manage Canadian tax compliance, including GST/HST/QST filings and coordination of\ncorporate tax requirements with external advisors.\n Ensure compliance with multi-province legal and regulatory considerations relevant to\nfinance operations.\n Serve as the primary finance contact for both internal and external auditors and\nadvisors for Canadian audits/reviews; coordinate PBC requests and drive timely\ncompletion.\n Support year-end statutory reporting and filings as needed.\nContracts, SOW/MSA Review & Commercial Support\n Review Statements of Work (SOWs) and certain Master Service Agreements (MSAs) for\nfinancial risk, operational feasibility, and margin implications.\n Provide deal economics analysis (e.g., staffing assumptions, cost-to-serve, margin\nexpectations) and present recommendations to leadership.\n Escalation/Approvals: Anything over $500K must be escalated to Head of Network\nFinance and Cheil Agency Network General Counsel\n\nSystems, Data & Process Improvement\n Act as a key Canadian finance systems owner/user for NetSuite and ADP, ensuring data\nintegrity and reporting accuracy.\n Apply strong data analytics capabilities to improve insight, reporting quality, and\nforecasting accuracy.\n Identify and implement process improvements and automation opportunities across\nreporting, close, and planning cycles.\nQualifications & Experience\n Bachelor's degree or Canadian equivalent in Finance, Accounting, Business, or a related\nfield (CPA strongly preferred).\n 7+ years of progressive finance experience, ideally within an advertising agency,\nprofessional services, or tech-enabled services organization (service-based delivery\nmodel).\n Proven ability to manage and develop an integrated finance team, driving collaboration\nacross FP&A, accounting, and operational finance.\n Demonstrated success working in an international / inter-country environment,\nincluding reporting into US-based leadership and operating in a matrixed organization.\n Strong understanding of financial statements with deep expertise across P&L and\nbalance sheet drivers (and their impact on cash/working capital).\n Working knowledge of Canadian taxation (including GST/HST/QST) and experience\ncoordinating tax compliance with external advisors.\n Experience supporting audit processes (internal and external), including strong\ndocumentation, control discipline, and PBC management.\n Experience reviewing/working with SOWs and MSAs in a client services environment.\n Systems proficiency: NetSuite and ADP, plus advanced Excel and financial modeling\nskills.\n Strong data analytics capability; able to synthesize large datasets into meaningful\ninsights and recommendations.\n Excellent executive presence with strong presentation skills—able to communicate\ncomplex financial topics clearly to non-finance stakeholders.\n Ability to travel occasionally (limited) for leadership meetings, planning cycles, or audit-\nrelated needs.\nKey Competencies\n Strategic, business-partner mindset with strong judgment and accountability.\n Highly organized, deadline-driven, and comfortable operating with autonomy.\n Confident communicator who can influence across functions, levels, and geographies.\n Proactive problem solver with a continuous improvement orientation.\n Comfortable in a fast-paced, creative agency environment while maintaining financial\nrigor.",
"value_type": "long_text"
},
{
"id": 115319,
"name": "Qualifications",
"value": null,
"value_type": "long_text"
},
{
"id": 116489,
"name": "Skills",
"value": null,
"value_type": "long_text"
}
],
"updated_at": "2026-02-05T14:01:17-05:00",
"departments": [
{
"id": 28644,
"name": "Finance",
"child_ids": [],
"parent_id": null
}
],
"company_name": "McKinney",
"requisition_id": 3354845,
"first_published": "2026-02-04T13:16:58-05:00",
"application_deadline": null
}Get this page with API
Rendered from the bluedoor Job Postings API. Reproduce it:
GET https://api.bluedoor.sh/job-postings/v1/jobs/a5bb9483d5cdceccec43f63c16eafa3afeab7be4?include=descriptionJSONGET https://api.bluedoor.sh/job-postings/v1/orgs/18dbbf0f-87cd-4e85-9b6b-6e64333a0184JSONGET https://api.bluedoor.sh/job-postings/v1/sources/15a6546f-ad13-4748-b901-3bad3fd97d78JSONGET https://api.bluedoor.sh/job-postings/v1/jobs/a5bb9483d5cdceccec43f63c16eafa3afeab7be4/eventsJSON