Job Description
At CN, everyday brings new and exciting challenges. You can expect an interesting environment where you鈥檙e part of making sure our business is running optimally and safely鈥昲elping keep the economy on track. We provide the kind of paid training and opportunities that long-term careers are built on and we recognize hard workers who strive to make a difference. You will be able to thrive in our close-knit, safety-focused culture working together as ONE TEAM. The careers we offer are meaningful because the work we do matters. Join us! Job Summary The Senior Business Partner, Economics and Strategy is responsible for developing, updating and communicating forecasted financial statements, producing entity-level splits of forecast for Taxation, and determining actual and expected Return on Investments (ROIs). The position maintains and enhances multi-year business plan models and collaborates cross-functionally. The incumbent facilitates discussions with senior leaders including the Vice-President (VP) Financial Planning (FP), Vice-President Treasury, Assistant Vice-President (AVP), Investor Relations, and Chief Financial Officer (CFO).\ Main Responsibilities Develop Financials for Business Plan 路 Develop consolidated income statements, balance sheets and cash flow statements including incorporate operating, investing, financing, and shareholder return plans and targets 路 Craft key deliverables of the business plan, including annual management bonus targets and long-term incentive plan (LTIP) targets 路 Ensure the Financial Model has capability to incorporate purchase of companies (e.g., asset or equity) into the Plan Forecasting and Strategic Analysis Ensure the consolidated United States (U.S.) Generally Accepted Accounting Principles (GAAP) income and selected cash flow items are split among the different tax jurisdictions on a legal entity basis Carry out projections for various U.S. subsidiaries and consolidation levels in support of internal financing and tax planning Act as expert on CN鈥檚 Profit and Loss (P L), including revenues, operating expenses, net income, operating ratio, and Earnings per Share (EPS) and execute ad hoc analyses Produce the external financial guidance summary including key assumptions to be disclosed in the Management Discussion and Analysis (MD A), as well as supporting documentation Free Cash Flow Budget, Forecasting and Monitoring Update Year End Outlook (YEO) monthly Review explanations of variances to expectations and prior year and propose corrective action if needed Liaise with Treasury to ensure consistency of forecasts Process Improvement Create insightful ad hoc reports and dashboards supporting CN鈥檚 goals Leverage technology and competitive insight for continuous improvement with the creation of enhanced forecasting tools, process designs, and data visualizations Review, streamline and automate deliverables and processes to make them relevant and meaningful to the audience Validate information and improve quality to remain relevant and add value Ensure reports are timely and information is accurate and intact Determine Expected and Actual ROIs Determine expected and actual targets in relation to annual bonus and Performance Share Units (PSU) incentive plans Update outlook quarterly to permit proper accruals Adjust ROIs for Accumulated Other Comprehensive Income (AOCI), one-time charges for tax enactments, and accounting changes Ensure adjustments reflect Pension adjustments and other items beyond the control of management Working Conditions The role is performed in an office environment with a regular workweek from Monday to Friday and is eligible to participate in CN's hybrid work police. The role may be required to be on-call outside of regular working hours. Due to the nature of the role, the incumbent must be able to meet tight deadlines, handle pressure, and stress as well as be able to prioritize to provide rapid deliveries in a dynamic environment. Requirements Experience Finance and Accounting Minimum of 7-10 years in a finance or accounting role Experience in modelling Experience with systems, Board material preparation, ad hoc financial analysis Experience building financial data models to extract, condense and analyze various financial items Demonstrated excellence in analytical experience relating to CN Education/Certification/Designation Bachelor鈥檚 Degree in Business Administration/Commerce Chartered Professional Accountant (CPA) or Chartered Financial Analyst (CFA) Master Degree in Business Administration (MBA)* *Any designation for these above would be considered as an asset Competencies Sets direction and inspires others Communicates with impact Demonstrates agility and drives change Collaborates with others and shares information Knows the business and stays current on industry needs Applies critical thinking Delegates and empowers others to create accountability Technical Skills/Knowledge Knowledge of financial statements and the linkages between them Knowl...