Treasury Analyst | $70/hr Remote
Offre en anglaisEvaluate and test banking, treasury, and cash-management workflows to identify operational strengths and limitations. Provide expert feedback and document findings to refine AI-enabled tool connectivity and workflow logic.
- Télétravail
- Canada
- Publié 21 août 2026
- 1 poste
Résumé du poste
Position: Corporate Treasury Specialist Type: Contract Compensation: $50 - $70/hour Location: Remote Commitment: 10-40 hrs/week Role Responsibilities Evaluate banking, treasury, and cash-management workflows in real-world business scenarios using provided digital tools and integrations. Test and assess the functionality of payments, liquidity, reconciliation, and cash management modules, identifying operational strengths and limitations. Deliver expert feedback on system performance, authenticity of workflows, and areas for improvement based on your professional experience. Identify and document any incorrect, unrealistic, or suboptimal outcomes presented by AI-enabled or connected applications. Collaborate with project coordinators to clarify requirements and provide actionable recommendations for refining workflow logic and tool connectivity. Contribute clear, concise written reports outlining findings, insights, and suggestions for enhancing tool usability and outcome reliability. Requirements Significant practical experience in corporate treasury, cash management, business banking, payments, liquidity management, or related treasury operations. Hands-on knowledge of banking, treasury, or cash-management platforms in operational business settings. Sound judgment in financial processes, operational risk, and reconciliation practices. Strong attention to detail, analytical ability, and commitment to accuracy. Clear, professional communication skills, especially in documenting findings and sharing feedback. Application Process Easy Apply on LinkedIn Check email for next steps Participate in resume evaluation & interview stage
Ce que vous ferez
Evaluate and test banking, treasury, and cash-management workflows to identify operational strengths and limitations. Provide expert feedback and document findings to refine AI-enabled tool connectivity and workflow logic.
Exigences
Requires significant practical experience in corporate treasury, cash management, or business banking operations. Candidates must possess strong analytical skills and the ability to document professional feedback on financial platforms.
Autres compétences pertinentes
Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.
- Corporate Treasury
- Cash Management
- Business Banking
- Payments
- Liquidity Management
- Reconciliation
- Financial Process Analysis
- Operational Risk Management
- Workflow Evaluation
- Technical Documentation
- Analytical Ability
- Professional Communication
Domaines d’emploi
- Finance & Accounting
- Consulting
- Data & Analytics
Renseignements supplémentaires
- Expérience minimale
- 2+ ans
- Langue de l’offre
- anglais
- Heures de travail
- 40 heures par semaine
- Niveau d’expérience
- Associate
- Mode de candidature
- La candidature directe est offerte