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Senior Director, Investor Relations and Treasury

Finance
Groupe Dynamite Inc.Mont-royal, QC, CAPosted 2026-07-16
Temps plein

Description

Overview

We are a dynamic, high-growth, omni-channel fashion retailer headquartered in the vibrant heart of Montréal. Having established a dominant footprint with a peak market capitalization of $10B, our ambitions are massive. We are actively executing a strategic roadmap to scale to a global powerhouse driven by aggressive international expansion, cutting-edge digital transformation, and omni-channel excellence. To help lead this charge, we are seeking a narrative-driven Senior Director of Investor Relations \& Treasury, to help us communicate our equity story in a powerful way to the global investment community. Role OverviewThis is a dual-critical, high-visibility leadership role combining elite-level financial storytelling with strategic capital allocation.

As the Senior Director of Investor Relations, you will be the chief architect of our equity narrative, responsible for addressing any market disconnects, winning Street confidence, and expanding our shareholder base globally.

As the Senior Director of Treasury, you will structurally optimize our capital structure, manage multi-currency liquidity (FX), and work with key stakeholders to optimize all capital allocation activities.

You will be supported by a Manager, Investor Relations and Corporate Finance, and will be part of the Finance Leadership Team.

Key Responsibilities

1. Strategic Investor Relations \& Market Storytelling

  • Optimize the Equity Narrative: Craft, refine, and relentlessly deliver a compelling, transparent, and forward-looking equity story that clearly communicates our path from $6B to high growth through digital and global growth levers;
  • Wall Street \& Bay Street Engagement: Serve as the primary, trusted point of contact for buy-side investors, sell-side equity analysts, and the banking community. Proactively expand research coverage and target institutional investors globally;
  • Earnings \& Disclosure Management: Lead the preparation of all quarterly earnings materials, including press releases, scripts, investor presentations, Q\&A banks, and regulatory disclosures;
  • Market Intelligence \& Feedback Loop: Monitor macroeconomic trends, retail sector valuation multiples, and competitor performance. Provide aggressive, real-time feedback to the executive team (CEO/CFO) regarding market perceptions and sentiment.

2. Global Treasury \& Capital Structure Strategy

  • Growth Funding Execution: Evaluate, secure, and manage the debt and equity funding structures required to capitalize international market entry and heavy digital tech-stack investments;
  • FX \& Multi-Currency Risk Management: Develop and execute sophisticated hedging strategies to mitigate foreign exchange risks as the brand scales across North America, Europe, and new international jurisdictions in the future;
  • Liquidity \& Cash Flow Optimization: Oversee global cash management, liquidity forecasting, and working capital optimization across all physical and E-commerce retail channels;
  • Banking Relationships: Lead and optimize relationships with international syndicates, commercial banks, and credit providers to ensure competitive terms and flexible capital access.
  • Candidate Profile \& Qualifications

Experience

  • The Blueprint: Minimum of 10–12+ years of progressive experience in Investor Relations, Corporate Treasury, Investment Banking, or Equity Research;
  • The Industry Factor: Deep familiarity with consumer-facing sectors (Fashion, Omni-channel Retail, or E-commerce) is highly desirable. Experience managing multi-billion-dollar market caps is a must. Experience in high-growth TECH companies is also a great asset;
  • The Global Track Record: Proven experience in managing international corporate finance complexities (multi-currency operations, cross-border banking, global capital markets).

Skills \& Knowledge

  • Master Storyteller: Exceptional communication skills with the rare ability to translate complex omni-channel metrics, retail data, and financial models into a clear, inspiring growth narrative;
  • Technical Mastery: Deep understanding of capital markets, US GAAP/IFRS, SEC/SEDAR compliance, valuation methodologies, and advanced FX hedging instruments;
  • Values: You over-index on our 5 core values, namely Ownership–Customer Focus–Curiosity–Passion–Empathy. More specifically for this role, curiosity and empathy are musthaves to ensure success;
  • *

Bilingualism: Fluency in English is mandatory for global investor communication; professional proficiency or fluency in French is highly preferred given our Montréal headquarters.

Education \& Designations

  • Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field;
  • CFA, CPA, or CTP (Certified Treasury Professional) designation is strongly preferred.

What We Offer

  • The unique opportunity to drive a multi-billion-dollar value-creation story from the ground floor;
  • A highly competitive executive compensation package, including an aggressive performance-based equity/STI plan aligned with market-cap milestones;
  • A collaborative, fast-paced, and fashion-forward corporate culture in Montréal.

We are an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.

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This posting was aggregated from indeed. Groupe Sentinella is not the employer; applying takes you to the original site. The full text belongs to the original poster.

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