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    • Assist with treasury system implementation and reporting automation initiatives.
    • Ensure compliance with *treasury policies, internal controls, and banking…
    • We are looking for a Tax Manager to lead tax compliance, reporting, and advisory activities for Canada, while supporting regional and global tax initiatives.
    • Enhance treasury systems, automation, and reporting tools.
    • Strong command of treasury systems, payment platforms, and reconciliation tools.
    • We specialize in cross-border e-commerce fulfillment, warehouse operations, and freight coordination.
    • We are seeking a hands-on Finance Manager to oversee…
    • Bilingual Senior Manager, Trust, Treasury and Accounts Payable.
    • Current opening | Poste à pourvoir.
    • Overseeing compliance, reconciliations, and reporting across…
    • Our compensation policies and practices have been designed to allow colleagues to progress through the salary range over time as they progress in their role.
    • Lead liquidity forecasting and cash management oversight activities, ensuring a clear understanding of funding requirements and collaborating closely with the…
    • Lead all commercial banking, treasury and financing relationships.
    • The role will oversee the full finance function, partnering closely with senior leaders and…
    • Lead Canadian corporate income tax compliance for parent and subsidiaries (T2 returns, schedules, loss pools, SR&ED where applicable).
    • Supervise the management of treasury activities.
    • Take charge of process improvements related to accounting operations and treasury.
    • Assists in the implementation, maintenance and administration of a specific compliance program.
    • Coordinates and performs risk assessment, monitoring, testing…
    • Employment Status: Full-time (37.5 hours per week).
    • This position provides cash management support for both Ag and Commercial members.
    • Lead and manage the team to archive departmental and organizational goals.
    • Implement strategic plans to archive business objectives.
    • Partner with the Senior Vice President, act as primary contact with clients: investors, investment advisors/managers, banks, brokers, auditors and other fund…
    • 2-3+ years of corporate treasury experience is desired.
    • University Degree, with a specialization in Finance or Accounting required.
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Job Post Details

Treasury Analyst - job post

Confidential
Etobicoke, ON
$74,658.29–$94,066.47 a year - Permanent, Full-time

Job details

Pay

  • $74,658.29–$94,066.47 a year

Job type

  • Permanent
  • Full-time

Location

Etobicoke, ON

Benefits

Pulled from the full job description

  • Vision care
  • Dental care
  • Life insurance
  • Employee assistance program
  • Disability insurance
  • RRSP match
  • Casual dress

Full job description

Treasury Analyst

Department: Treasury
Reporting To: Head of Treasury

Position Summary

The Treasury Analyst supports the organization’s treasury operations, focusing on cash flow management, foreign exchange exposure monitoring, working capital optimization, and trade finance activities. This role provides analytical support for liquidity planning, assists in managing FX risk, and helps maintain efficient banking and treasury control processes. The Treasury Analyst works closely with finance, operations, and banking partners to ensure accurate reporting and effective management of the company’s liquidity and financial risk exposures.

Key Responsibilities

Cash Flow & Liquidity Management

  • Provide analytical and reporting support for weekly and rolling 13-week cash flow forecasts.
  • Assist in compiling cash flow inputs from operational teams and validating forecast assumptions.
  • Support daily cash reporting and reconciliation across Canadian bank accounts.
  • Prepare variance summaries and analysis for management review.
  • Assist with documentation and tracking of short-term liquidity movements and intercompany funding activities.
  • Contribute to process improvements and standardization of cash reporting templates and liquidity tracking.

Foreign Exchange (FX) Management & Exposure Reporting

  • Maintain and update FX exposure reports across the business.
  • Quantify transactional and forecasted currency exposures related to AR, AP, inventory, and trade finance flows.
  • Support the execution, confirmation, and settlement of FX hedging transactions including forwards and swaps.
  • Reconcile hedge positions and monitor mark-to-market exposures.
  • Track hedge effectiveness and report on hedge coverage ratios.
  • Perform sensitivity analysis and scenario modeling related to currency fluctuations.
  • Assist in the development and enhancement of the company’s FX risk management framework and hedging strategy.
  • Support counterparty communication and pricing comparisons related to hedge execution.

Working Capital & Trade Finance

  • Track letters of credit (LCs), standby LCs (SBLCs), guarantees, and other trade finance instruments, including expiries and utilization levels.
  • Monitor facility utilization trends and identify upcoming constraints or expiry risks.
  • Assist in tracking and analyzing trade finance costs, including LC fees, bank charges, and issuance costs.
  • Support improvements and standardization of working capital reporting processes.

Banking Operations & Treasury Controls

  • Support daily payment processing and liquidity transfers.
  • Ensure compliance with treasury policies, internal controls, and banking procedures.
  • Maintain documentation of credit facilities, banking mandates, and treasury policies.
  • Assist with treasury system implementation and reporting automation initiatives.

Qualifications & Experience

  • 2–5 years of experience in treasury, corporate finance, banking, or trade finance.
  • Strong Excel and financial modeling skills.
  • Understanding of working capital management and foreign exchange exposure concepts.
  • Experience in commodity trading, trade finance, or global trading environments considered an asset.
  • CPA or CFA designation (or progress toward designation) considered an asset.

Job Types: Full-time, Permanent

Pay: $74,658.29-$94,066.47 per year

Benefits:

  • Casual dress
  • Company events
  • Dental care
  • Disability insurance
  • Employee assistance program
  • Extended health care
  • Life insurance
  • On-site parking
  • RRSP match
  • Vision care

Work Location: In person

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