Analyst II, Treasury Operations
Offre en anglaisThe Treasury Analyst II supports the execution, monitoring, and compliance of internal and external debt while managing daily cash movements. They are responsible for optimizing treasury management systems and supporting financial reporting, debt forecasts, and audit requirements.
- Hybride
- Oakville, ON
- Publié 18 août 2026
- Postuler avant le 26 sept. 2026
- 1 poste
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Résumé du poste
Algonquin Power & Utilities Corp. (AQN), parent company of Liberty, is a diversified international generation, transmission, and distribution utility. AQN is committed to providing safe, reliable, and cost-effective energy and water solutions through our portfolio of utility investments to over one million customer connections, largely in the United States and Canada. At Algonquin, our vision is to be the most trusted utility service provider in North America – a premium regulated utility, known for our customer focus, commitment to sustainability, and strong community partnerships. Our employees are at the heart of that vision. We believe that when people are empowered to learn, grow, and contribute their ideas, we can achieve remarkable results together. We are building a culture that values integrity, inclusivity, and innovation. By joining Algonquin, you’ll be part of a team that is shaping the future of energy and water, while creating long-term value for our customers, communities, employees, and shareholders.Purpose Reporting to the Director, Treasury Operations, the Treasury Analyst II supports the execution, monitoring, and compliance related to the Company’s internal and external debt. Specifically, the Treasury Analyst II executes fund movements to support departmental objectives and ensures required transfers are entered accurately and on time. The Treasury Analyst analyzes multiple cash, debt, and intercompany balances, and supports daily borrowing activities. The Treasury Analyst II additionally supports Treasury reporting requirements, cash flow, and debt forecasts. This team member is also expected to contribute to the department’s goal of optimizing treasury management systems and minimizing cost and time spent on non-value added tasks. #LI-HybridAccountabilities Monitors entity cash balances and recommends fund movements to meet Treasury objectives. Executes intercompany movements of cash for debt minimization and to complete certain transactions. Leading expert in Kyriba functionality, including monitoring user access and monitoring associated finance transactions. Monitors draws, repayments and rollovers on revolving credit facilities, outstanding LCs and external debt. Monitors and oversees existing bank account services and signatories Maintains SOX compliance within the department; ensuring all proper controls are followed Answers questions, providing support for internal and external auditors Supports special projects, capital market transactions, rating agency presentations, and acquisition activities as required Supports Treasury tool optimization Monitors access to all Treasury tools. Effectively works with, and supports internal business partners including Finance, Legal, Tax, business development teams and international affiliates Education and Experience Bachelor’s degree in accounting or finance In the process of obtaining CPA or CFA preferred 1+ years of Treasury or related experience Kyriba experience a plus Compensation Data Full base salary range $75,000.00- $100,000.00 per year*Liberty considers several factors when extending an offer, including but not limited to, the role and responsibilities, a candidate's work experience, education, training and skills, and geographic location. Our purpose is sustaining energy and water for life, and it is demonstrated in everything we do as a business and as an employee team. Our Mission We provide safe, secure, reliable, cost-effective and sustainable energy and water solutions. Our mission is how we create value as an organization—it is what drives us every day to fulfill our purpose. Our Vision We better the lives of our customers and communities. Our vision is what we see as possible. It's where we aspire to be, what we want to achieve and how we'll make an impact. It guides and keeps us on the right path as we work towards fulfilling our purposes. Our Guiding Principles Customer Centric Integrity Entrepreneurial Teamwork Owner mindset Outcome focused Continuous learning What we offer Collaborative environment with a genuine flexible working policy Share purchase/match plan Leadership Development Program Volunteer paid days off Employee Assistance Program Achievement fund Group Benefit Plan Variety of Health & Wellness programs Discount and Perks program We are focused on building a diverse and inclusive workforce. If you are excited about this role and are not confident you meet all the qualification requirements, we encourage you to apply to investigate the opportunity further. We are an equal opportunity employer and value each person's unique background, diversity, experiences, perspectives and talents. Full participation of all employees in a safe, healthy and respectful environment is key to individual and company success. We are committed to fully utilizing the abilities of all our employees and expect each of our employees to honour this commitment in their daily responsibilities.
Ce que vous ferez
The Treasury Analyst II supports the execution, monitoring, and compliance of internal and external debt while managing daily cash movements. They are responsible for optimizing treasury management systems and supporting financial reporting, debt forecasts, and audit requirements.
Exigences
Candidates must hold a bachelor's degree in accounting or finance with at least one year of relevant treasury experience. Proficiency in Kyriba is considered a plus, and progress toward a CPA or CFA designation is preferred.
Avantages
• Share purchase/match plan • Leadership Development Program • Volunteer paid days off • Employee Assistance Program • Achievement fund • Group Benefit Plan • Health & Wellness programs • Discount and Perks program
Compétences indiquées
- Analyse financièreSouhaitée
- ComptabilitéSouhaitée
Autres compétences pertinentes
Relevées dans la description du poste. Confirmez les exigences importantes ci-dessus.
- Treasury operations
- Debt management
- Cash flow forecasting
- Kyriba
- SOX compliance
- Financial reporting
- Accounting
- Capital markets
- Intercompany reconciliation
- Audit support
- Bank account management
- Financial analysis
- Treasury Operations
- Continuous Development
- Kyriba (Treasury Management Software)
- Electrical Power Transmission And Distribution
- Business Development
- Investments
- Capital Markets
- Certified Public Accountant
- Chartered Financial Analyst
- Customer Service
- Treasury Management
- Employee Assistance Programs
- Finance
- External Auditing
- Forecasting
- Renewable Energy
- Innovation
- Leadership Development
- Presentations
- Sarbanes-Oxley Act (SOX) Compliance
- Teamwork
- Credit Facilities
Domaines d’emploi
- Finance & Accounting
- Energy
- Management & Leadership
- Treasury Operations Analyst
- Treasury Analyst
- Financial Analysts
- Financial and Investment Analysts
Renseignements supplémentaires
- Formation minimale
- Diplôme professionnel
- Expérience minimale
- 2+ ans
- Postuler avant le
- 26 sept. 2026
- Langue de l’offre
- anglais
- Heures de travail
- 40 heures par semaine