Analyst Finance & Accounting, ERP Applications
Date: Sep 19, 2025
Location: Calgary
Company: NorthRiver Midstream
Role: | Analyst Finance & Accounting, ERP Applications |
Team: |
Information Technology |
Employee Type: |
Full Time |
Travel: |
No |
Safety Sensitive: |
No |
Who is NorthRiver Midstream?
NorthRiver Midstream (NorthRiver) is one of North America's leading gas gathering and processing businesses on an exciting path of expansion and innovation that's not slowing down. We do energy differently.
- We are a lean, agile, customer driven company with an asset base primarily located in the rich Montney reserves of Northeast British Columbia.
- We have a proud and well-earned reputation for safe, reliable operations.
- We've made real commitments to measurable emission reductions and sustainability, and our results back this up.
- We have a verifiable track record of meaningful indigenous partnership founded on mutual respect.
- Our culture is one of partnership, collaboration, ownership and an unwavering commitment to finding solutions together.
Why work for us?
- We're a team that cares about each other. We've got each other's back.
- We believe that the best ideas win, no matter where they come from.
- We're the perfect size - lean and agile.
- We're big enough that there are great opportunities for career growth and personal development.
To learn more visit www.nrm.ca
Who we’re looking for:
We’re looking for a senior level Analyst Finance & Accounting, ERP Applications resource to join our all-star team. We’re looking for:
- A problem solver who gets how things connect: You’re someone who dives into data, breaking down complex problems, and finds logical, efficient solutions. You’re the type of person who thinks in systems - seeing the big picture while making sure all the moving parts fit together smoothly. You naturally connect the dots, anticipate challenges, and find the best way through.
- A people person: We need someone who’s a natural when it comes to building relationships—whether it's with customers, teammates, or anyone else you work with. You know how to connect, listen, and make people feel heard, especially when things get tough.
- Keep calm and carry on: When the pressure is on and deadlines are tight, you don’t just survive - you thrive. You know how to stay calm, think on your feet, and keep things moving forward without compromising those important relationships. You handle challenges with grace and always find a way to make it work for everyone involved.
- Flexible mindset: You’re curious and flexible - the Swiss Army knife of capabilities. You thrive in situations where there isn’t always a playbook and love coming up with creative ways to tackle challenges.
- Excellent analytical skills: You break down problems and identify solutions. You manage your time effectively while balancing priorities to meet deadlines.
- A change agent: You champion innovation and drive organizational change by leading and managing transformation initiatives. You identify opportunities for process improvement, collaborating closely with business partners to gather and prioritize requirements, and implementing continuous improvement strategies that deliver measurable results.
What you’ll do:
Here is a sample of some of what your workdays may look like:
- Work closely with NorthRiver Midstream Finance and Accounting, Tax and Treasury, Supply Chain, Legal and IT Teams to triage, prioritize, resolve issues and implement systems and/or process improvement solutions.
- Configure, maintain, and optimize SAP Finance (FI) and Treasury (TR, FSCM) modules to support cash management, payment processing, and banking operations.
- Monitor daily cash positions, forecast cash flows, and manage liquidity across multiple entities.
- Execute treasury operations, including payment runs, bank reconciliations, intercompany loan postings, and foreign exchange transactions.
- Develop and deliver financial reports, including cash forecasts, investment performance, and risk assessments.
- Support audit, SOX, and regulatory compliance reporting related to finance and treasury activities.
- Support or lead the integration of acquired entities and onboarding new banking relationships.
- Identify, assess, and mitigate financial risks, including credit, interest rate, and FX exposure.
- Develop documentation and training for treasury processes and best practices, including requirements gathering, functional design documents, test scripts, Knowledge base and quick reference guides.
- Participate in and drive continuous improvement initiatives, optimizations or automations to produce Business value.
- Recognize and improve the company's use of the SAP System, using best practice and standard delivered solutions.
- Understand and analyze business requirements and translate them into system requirements, configurations and customizations.
- Work closely with and monitor our contracted AMS (Application Managed Service) technical and
configuration support partners to ensure that Scoped SAP services are well-designed, tested and
ultimately meet Business expectations.
What we offer:
- Competitive salary and benefits package (health, dental, vision, and more).
- A culture of continuous learning and mentorship from the best in the business (and fun!).
- An opportunity to work in the heart of downtown Calgary with great amenities including a brand new, subsidized gym and meeting spaces.
What you bring:
Required
- Bachelor’s degree in finance, accounting, or a related field.
- 10+ years’ experience in finance, accounting, or treasury roles; direct SAP FI/Treasury or new group reporting experience preferred.
- Proficiency in SAP FI/CO, Treasury (FSCM, Cash Management, In-House Cash, Bank Communication Management) and New Group Reporting.
- Thorough understanding of related master data and integration points with other SAP processes such as procurement, asset management and time management.
- Very strong computer skills (MS Suite - Word, Excel, PowerPoint, Visio).
Preferred
- Experience with SAP S/4HANA Finance, Treasury and/or New Group Reporting modules leveraging suite of Fiori applications.
- Familiarity with payment automation, cash pooling and bank connectivity.
- Familiarity with BlackLine account reconciliation tool.
- Working knowledge of financial regulations and audit procedures.
If this sounds like your next career adventure, we'd love to hear from you!
Comments:
The above profile is intended to describe the general content of, and requirements for, the performance of this job.
It is not to be construed as an exhaustive statement of accountability, qualifications, or other aspects of the job.
At NorthRiver Midstream we embrace a culture of diversity and inclusion with equal access to opportunities based on individual merit by creating an environment which encourages all employees to contribute their unique capabilities and perspectives.
We accept applications online via our Careers page; http://careers.nrm.ca.
We appreciate your interest in working with us; however only those applicants selected for interviews will be contacted.